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Nippon India Low Duration Fund - Regular Plan

Low to Moderate Risk
Rs 3,799.48  
0.05
  |  
 NAV as on Sep 22, 2025
Benchmark
CRISIL Low Duration Debt A-I Index
Expense Ratio
0.95%
Fund Category
Fund Size
Rs 10,032 Crores
Exit Load
0.00%
Min. Investment
Rs 500

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1W
1M
3M
6M
YTD
1Y
3Y
5Y
10Y

Sector Allocation

Nippon India Low Duration Fund - Regular Plan Fund Details

Investment Objective - The investment objective of the Scheme is to generate optimal returns consistent with moderate levels of risk and liquidity by investing in debt securities and money market securities.

Return Since Launch
7.47%
Launch Date
Mar 20, 2007
Type
Open Ended
Riskometer
Low to Moderate

Top Holdings

Name
Assets (%)
Sector
Instrument
1.96Certificate of Deposits
1.96Certificate of Deposits
1.94Certificate of Deposits
1.47Certificate of Deposits
0.98Certificate of Deposits
0.97Certificate of Deposits
0.96Certificate of Deposits
0.96Certificate of Deposits
0.47Commercial Paper
0.25Non Convertible Debentures
Sep 22, 2025

Performance Analysis

1W
1M
3M
6M
1Y
3Y
5Y
10Y
SI
Fund Returns (%)0.120.451.473.937.357.105.926.697.47
Category Average (%)0.120.451.443.906.936.525.36NA7.12
Rank within Category799787766670563526

* Returns over 1 year are CAGR

Peer Comparision

Scheme Name(Growth Regular)
NAV (Rs)
AUM (Rs Cr)
1W(%)
1M(%)
3M(%)
6M(%)
1Y(%)
3Y(%)
5Y(%)
10Y(%)
SI(%)
ER(%)
552.3227,0760.110.441.534.147.987.716.387.277.720.54
58.5624,3040.110.381.383.927.507.175.966.737.071.04
3,543.6115,2080.110.421.393.887.427.065.616.637.220.93
3,606.1015,2080.110.421.393.887.427.065.626.637.320.42
466.6513,7330.090.351.363.807.276.905.706.697.101.09
665.5313,7330.090.351.363.807.276.905.706.697.171.24
3,390.8813,3280.110.401.403.887.517.025.686.897.201.18
3,799.4810,0320.120.451.473.937.647.105.926.697.470.95
3,606.8510,0320.110.431.433.857.476.955.806.417.171.13
2,945.947,2520.110.451.534.097.887.376.016.767.190.57
View All
Sep 22, 2025

Return Calculator

Over the past

Invested
5000
  • Invested Amount
  • Estimated Return

Total investment of ₹5000

Would have become ₹5,382 (+7.64%)

Fund Manager

Vivek Sharma
Kinjal Desai

Mr. Vivek Sharma is a B.E (Electronics) and PGDM (Finance).Vivek Sharma, Fund Manager Fixed Income has total 9 years experience with Nippon India Mutual Fund Assisting in actively managing the duration and asset-allocation of various debt portfolios such as Income Fund, Gilt Fund, Dynamic Bond Fund, Ultra Short Term Fund, FMPs, Credit Fund, Liquid Fund & Liquid Plus Funds. Vivek Sharma joined NAM India in 2006 as Management Trainee & has been working with Fixed Income Team since 2007.

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Here is the list of funds managed by Vivek Sharma

Scheme Name(Growth Regular)
Category
NAV(Rs)
AUM(Rs Cr)
1Y(%)
5Y(%)
Debt - Ultra Short Duration4,084.2711,0537.156.64
Debt - Corporate Bond60.8310,0498.206.71
Debt - Low Duration3,606.8510,0327.475.80
Debt - Low Duration3,799.4810,0327.645.92
Debt - Short Duration53.558,8518.246.23
Debt - Overnight139.937,1936.095.21
Debt - Banking & PSU21.005,5487.555.98
Others - Index Funds/ETFs133.405,0637.19NA
Debt - Dynamic Bond37.504,3407.125.86
Others - Index Funds/ETFs12.343,3417.92NA
View All
Sep 22, 2025

Top Performing Related Funds

Scheme Name(Growth Regular)
NAV (Rs)
AUM (Rs Cr)
1W(%)
1M(%)
3M(%)
6M(%)
1Y(%)
3Y(%)
5Y(%)
10Y(%)
SI(%)
ER(%)
171.4764,821-0.061.602.9813.07-5.5722.7532.9121.5720.841.40
284.4449,380-0.151.350.898.83-1.0913.9019.0713.6726.870.05
305.1346,216-0.391.133.2913.240.1022.3130.9815.4618.151.51
92.9245,012-0.101.653.1611.691.9319.6425.4815.0013.081.51
4,214.6738,386-0.221.132.8414.32-0.6323.9230.0418.2822.341.55
93.2332,0520.673.92-0.517.77-5.0536.4041.0416.2321.470.01
Sep 22, 2025
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