Nippon India Fixed Horizon Fund Xxxv Series 16 Regular Plan
Benchmarks Nifty24,154.90-132.75FEATURED FUNDS★★★★★Motilal Oswal Midcap Fund Direct-Growth5Y Return23.3 % Invest NowEnter search text:HomeETPrimeMarketsMarket DataNewsIndustrySMEPoliticsWealthMFTechAICareersOpinionNRIPanacheThis Mutual Fund scheme is no longer active now and not accepting any fresh investments.Nippon India Fixed Horizon Fund XXXV - Series 16 Regular - GrowthUnratedInvestment GrowthSIP5,0001 YearLoading...Nippon India Fixed Horizon Fund XXXV - Series 16 Regular - GrowthUnratedNippon India Fixed Horizon…
Investment Growth
Nippon India Fixed Horizon Fund XXXV – Series 16 Regular – Growth
Nippon India Fixed Horizon Fund XXXV – Series 16 Regular – Growth Fund Key Highlights
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Nippon India Fixed Horizon Fund XXXV – Series 16 Regular – Growth Returns
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Nippon India Fixed Horizon Fund XXXV – Series 16 Regular – Growth Fund Details
Investment Objective – The scheme seeks to generate returns and expansion of capital by investing in a diversified portfolio of Central and State Government securities and Other fixed income/ debt securities maturing on or before the date of maturity of the scheme with the objective of limiting interest rate volatility.
Fund HouseNippon India Mutual FundLaunch DateJan 24, 2018Benchmark-
Nippon India Fixed Horizon Fund XXXV – Series 16 Regular – Growth Investment Details
Minimum Investment (Rs.)5,000.00Minimum Further Investment (Rs.)1.00Minimum SIP Investment (Rs.)-Minimum Withdrawal (Rs.)-Exit Load0%
Portfolio Allocation
Portfolio Aggregates
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Style Box
CREDIT RATINGINTEREST RATE SENSITIVITYHighMediumLowHighMediumLowInvestment / Portfolio Grades
Security TypeWeight(%)Category Avg(%)Government Backed–Low Risk–Moderate Risk–High Risk–Very High Risk–Others–
Type of Holdings
Security TypeWeight(%)Category Avg(%)GOI–CD–T-Bills–CP–NCD & Bonds–PTC–Cash & Others–
Debt Holding In Portfolio
InstrumentTypeSectorRatingValue(Mn)Total Holding(%)QuantityJM Financial Credit Solutions LtdZero Coupon BondsFinancialAA328.8011.96240Indusind Bank LtdCertificate of DepositFinancialA1+271.669.882,7209.45% Indostar Capital Finance Ltd 12/09/2021Non Convertible DebentureFinancialAA-220.258.01229.69% GR Infraprojects Ltd 10/09/2021Non Convertible DebentureConstructionAA79.082.88799.05% Piramal Finance Ltd 09/09/2021DebentureFinancialD21.900.801,46,0009.05% Piramal Finance Ltd 09/09/2021DebentureFinancialD21.900.801,46,000All Mutual Funds
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