Debt Scheme - Credit Risk Fund

Nippon India Credit Risk Fund - Segregated Portfolio 1

Nippon India Mutual Fund · Direct Plan · Growth option

NAV₹0.53as of 27 Jan 2022
1Y return+340.03%

NAV 27 Jan 2022 · Refreshed daily from AMFI data.

NAV history

2020-02-182022-01-27₹0.53₹0.12

Weekly NAV points. Past performance does not guarantee future returns.

Returns

PeriodReturn₹10,000 became
1 month+298.06%₹39,806
3 months+305.00%₹40,500
6 months+316.04%₹41,604
1 year+340.03%₹44,003

Returns up to 1 year are absolute; 3Y and 5Y are annualised (CAGR). Growth option, Direct plan.

Fund details

Fund houseNippon India Mutual Fund
CategoryDebt Scheme - Credit Risk Fund
Plan / optionDirect · Growth
AMFI scheme code148101

Risk statistics

Max drawdown (1.9Y)-25.6%
52-week NAV high / low₹0.53 / ₹0.12
Below 52-week high0.0%

Computed by Market Dekho from the fund's daily NAV history. Volatility is the annualised standard deviation of daily returns.

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Frequently asked questions

What is the NAV of Nippon India Credit Risk Fund - Segregated Portfolio 1 today?

The latest NAV of Nippon India Credit Risk Fund - Segregated Portfolio 1 (Direct Growth) is ₹0.53 as of 27 Jan 2022, as published by AMFI.

What returns has Nippon India Credit Risk Fund - Segregated Portfolio 1 given?

+340.03% over 1 year (Direct Growth). Past returns do not guarantee future results.

Data sources: NAV from AMFI India's daily NAV file. Benchmark, AUM, riskometer, fund managers, expense ratio and scheme terms come from AMFI filings (daily fund performance, scheme summary documents and TER disclosures) compiled by TigZig MFPRO. Verify with the fund house's official scheme documents before investing. Risk statistics are computed by Market Dekho.

Mutual fund investments are subject to market risks; read all scheme-related documents carefully. Market Dekho is not a SEBI-registered investment adviser; this page is educational and not investment advice.