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Nippon India Credit Risk Fund - Segregated Portfolio 2 (G) Offer Details

DebtCredit Risk

10

Unit Price

06 Mar, 2020

Offer Close

5000

Min Amount

Investment Objective

The investment objective of Nippon India Credit Risk Fund - Segregated Portfolio 2 (G) is the scheme aims to generate optimal returns consistent with moderate levels of risk. it will invest atleast 65 per cent of its assets in debt instruments with maturity of more than 1 year and the rest in money market instruments (including cash or call money and reverse repo) and debentures with maturity of less than 1 year. the exposure in government securities will generally not exceed 50 percent of the assets.. Nippon India Credit Risk Fund - Segregated Portfolio 2 (G) is high. The new fund offer (NFO) period for Nippon India Credit Risk Fund - Segregated Portfolio 2 (G) is null to 2020-03-06 with minimum investment amount of ₹ 5,000

Nippon India Credit Risk Fund - Segregated Portfolio 2 (G) NFO Details

NFO Open Date
-
Offer Close
06 Mar, 2020
Unit Price
₹ 10
Min. Amount
₹ 5,000
Entry Load
Not Applicable
Exit Load
NA
Scheme Type
Debt
Fund Option
Nippon India Credit Risk Fund - Segregated Portfolio 2 (G)
Benchmark
CRISIL Credit Risk Debt B-II Index
Lock In Period
NIL
Fund Managers

Sushil Budhia

Fund Manager

Important Links
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Scheme Information Document

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Statement of Additional Information

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Portfolio Disclosure

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About the AMC

Nippon India Mutual Fund

Reliance Nippon India Mutual Fund was established in 1996. It is a joint venture between India's Reliance Mutual Fund and Japan's Nippon Life Insurance Company. It is india's top asset management company with a total AUM of Rs 1.8 Lac Crore with about 91.9 lac active folios. It is the first compnay to be listed and traded on both the NSE and Bombay Stock Exchange (BSE).amc-img

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