Nippon India Floating Rate Fund - Weekly IDCW : Latest NAV, Performance & Returns

MUTUAL FUND SCHEME SNAPSHOT

Dividend|Nippon India Mutual Fund

Nippon India Floating Rate Fund - Weekly IDCW

21 Feb 2025
10.3122
0.0011
(0.01%)
  • YTD Return
    0.0011
  • Expense Ratio
    0.60
  • Turnover Ratio
    0.00
  • Inception Date
    27 Aug 2004
  • Std Deviation
    0.0326
  • 52 W High
    41.2562
  • 52 W Low
    38.1388
Performance Chart ADVANCED CHARTING >>
AUM Movements
Assets size in Rs. (Cr.)
Min :
Max
Scheme Performance (as on 21 Feb 2025)
1M 3M 6M 1Y 3Y 5Y SINCE
INCEPTION
Nippon India Floating Rate Fund - Weekly IDCW 7.79 6.97 7.65 8.14 6.52 6.58 6.17
Crisil 10 Yr Gilt Index (BENCHMARK) -0.45 3.14 3.88 -2.04 5.13 -0.41 6.88
*Note, Benchmark returns below 1 Year is absolute returns and above one year is on CAGR basis.
Scheme Portfolio
AMC Details
AMC Name
Nippon India Mutual Fund
Fund Manager
Vikash Agarwal
Regd. office
4th Floor, Tower A, Peninsula Business Park,Ganapatrao Kadam Marg, Lower Parel (W)Mumbai - 400 013
Telephone No.
022-68087000
Fax No.
022-68087097

Market Today

22795.90 117.25 (0.51 %)

FAQ

What is the Expense Ratio of Nippon India Floating Rate Fund - Weekly IDCW

The Expense ratio of Nippon India Floating Rate Fund - Weekly IDCW is 0.60

What is the Turn Over Ratio of Nippon India Floating Rate Fund - Weekly IDCW

The turnover ratio of Nippon India Floating Rate Fund - Weekly IDCW is 0.00

What is the Inception date of Nippon India Floating Rate Fund - Weekly IDCW

Nippon India Floating Rate Fund - Weekly IDCW started on 27 Aug 2004

What is the Standard Deviation of Nippon India Floating Rate Fund - Weekly IDCW

The standard deviation of Nippon India Floating Rate Fund - Weekly IDCW is 0.0326

What is the 52 Week High of Nippon India Floating Rate Fund - Weekly IDCW

The 52-week high of Nippon India Floating Rate Fund - Weekly IDCW is 41.2562

What is the 52 Week Low of Nippon India Floating Rate Fund - Weekly IDCW

The 52-week low of Nippon India Floating Rate Fund - Weekly IDCW is 38.1388

What is the NAV Of Nippon India Floating Rate Fund - Weekly IDCW

The NAV of Nippon India Floating Rate Fund - Weekly IDCW is 10.3122