e.g. Tata motors, Reliance MF, 500570
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Top Funds by Nippon Life India Asset Management Ltd
Equity - International Funds +30.96% (1Y)
Very High Risk
Debt - FMP +6.95% (1Y)
Moderate Risk
Gold Fund +23.30% (1Y)
High Risk
Debt - Others +11.55% (1Y)
Moderate Risk
Equity - Others +9.29% (1Y)
Very High Risk
Debt - Income +11.51% (1Y)
Moderate Risk
Debt - FMP +5.77% (1Y)
Moderate Risk
Debt - Income +11.51% (1Y)
Moderate Risk
Debt - Short Term +9.44% (1Y)
Moderate Risk
Debt - Liquid +8.09% (1Y)
Moderate Risk
Debt - Short Term +9.44% (1Y)
Moderate Risk
Debt - Liquid +8.09% (1Y)
Moderate Risk
Hybrid - Debt-oriented Conservative +8.52% (1Y)
Moderately High Risk
Hybrid - Debt-oriented Conservative +8.52% (1Y)
Moderately High Risk
Hybrid - Debt-oriented Conservative +8.52% (1Y)
Moderately High Risk
Debt - FMP +9.66% (1Y)
Moderate Risk
AMC Key Information
Asset Management Company Nippon Life India Asset Management Ltd.
AMC Setup Date 1995-06-30
AMC Incorporation Date 1995-02-24
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