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Nippon India Hybrid Bond Fund Growth INF204K01FD1

NAV / 1-Day Return
56.46 / 0.32%
Total Assets
8.3 Bil
Inception Date
Dec 29, 2003
Expense Ratio
1.900%
Fee Level
Load
Multiple
Category
India Fund Conservative Allocation
Investment Style
Large Growth
Credit Quality / Interest Rate Sensitivity
High/Limited
Status
Open
TTM Yield
0.00%
Turnover
67%

Morningstar’s Analysis

Growth of 10,000

A chart contrasting Fund Growth of 10k over 10 years versus Category and Index
Manager Change : Full Partial

Returns

2015
2016
2017
2018
2019
2020
2021
2022
2023
2024
YTD
Investment
6.21
9.23
9.32
4.01
2.77
-8.53
10.06
4.75
10.17
7.77
2.98
Category
4.92
8.66
10.03
0.27
4.82
9.03
10.16
4.25
9.79
9.81
1.83
Index
7.42
11.94
8.85
5.28
10.76
14.19
7.07
3.11
9.83
9.88
3.49
Quartile Rank
Quartile Rank is second
Quartile Rank is second
Quartile Rank is second
Quartile Rank is first
Quartile Rank is third
Quartile Rank is fourth
Quartile Rank is second
Quartile Rank is second
Quartile Rank is second
Quartile Rank is fourth
Quartile Rank is first
Percentile Rank
29
40
50
10
75
100
47
30
47
79
18
# of Invest. in Cat.
344
337
483
253
241
245
229
215
215
205
205
Category Name
IN013 India Fund Conservative Allocation
IN013 India Fund Conservative Allocation
IN013 India Fund Conservative Allocation
IN013 India Fund Conservative Allocation
IN013 India Fund Conservative Allocation
IN013 India Fund Conservative Allocation
IN013 India Fund Conservative Allocation
IN013 India Fund Conservative Allocation
IN013 India Fund Conservative Allocation
IN013 India Fund Conservative Allocation
IN013 India Fund Conservative Allocation


Asset Allocation

Asset Class Investment Category Index
Equity 14.45 24.36 0.00
Fixed Income 72.20 70.72 97.69
Preferred 0.00 0.00 0.00
Convertible 0.00 0.00 0.00
Cash 13.08 4.87 2.31
Other 0.27 0.39 0.00

Stock Style

People

Inception Date
Dec 29, 2003
Number of Managers
4
Longest Tenure
21.3 Years
Average Tenure
8.1 Years
Advisor(s)
Nippon Life India Asset Management Ltd

Management Team

Dec 29, 2003 –Present
Feb 01, 2020 –Present
Sep 10, 2021 –Present

Manager Timeline

  • Male
  • Female
  • Non-Binary
  • Not Disclosed
  • Not Available

Morningstar Risk & Return

Risk vs. Category
Low
Return vs. Category
Average

Holdings

Portfolio Holdings
# Long
# Short
Equity Holding
51 0
Bond Holding
43 0
Other Holding
5 1
Total Holding
99 1
Equity Holdings
51
Bond Holdings
43
Other Holdings
5
Total Holdings
99
% Assets in Top 10 Holdings
39
Reported Turnover %
66.73
As of 03 / 31 / 24
Women Directors %
20
Women Executives %
10
Holdings
% Portfolio Weight
First Bought
Market Value as of Mar 31, 2025
Cur Currency
Share Change %
1-Year Return
Forward P/E
Equity Star Rating
Economic Moat
ESG Risk Rating Assessment
Sector
1.51 May 31, 2012 125,910,000
INR Indian Rupee
27.12 Financial Services
1.20 Sep 30, 2024 100,000,000
INR Indian Rupee
1.09 Aug 15, 2024 91,168,000
INR Indian Rupee
4.00 Real Estate
1.06 Mar 31, 2012 88,177,000
INR Indian Rupee
33.03 19.53 Financial Services
0.96 Mar 31, 2018 79,918,000
INR Indian Rupee
-11.54 Momentum Energy
0.63 Apr 30, 2012 52,768,000
INR Indian Rupee
6.29 19.72 Narrow Technology
0.55 May 31, 2018 45,769,000
INR Indian Rupee
46.73 Communication Services
0.52 May 31, 2018 43,515,000
INR Indian Rupee
-9.95 24.21 Wide Technology
0.43 Feb 28, 2013 35,635,000
INR Indian Rupee
-5.96 Industrials
0.39 May 31, 2018 32,350,000
INR Indian Rupee
10.65 9.95 Financial Services
Holdings as of Mar 31, 2025 | The top 99 largest holdings are available for display across Equity, Bond and Other.


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