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Nippon India Overnight Fund Direct IDCW W RI

Nippon India Overnight Fund Direct IDCW W RI

Fund Name

Nippon India Mutual Fund

Scheme Name

Nippon India Overnight Fund Direct IDCW W RI

AMC

Nippon India Mutual Fund

Type

:  Open

Category

Liquid Funds

Launch Date

17-Dec-2018

Fund Manager

Vikas Agrawal

Net Assets (Rs. cr)

7113.21

Invest wise with Expert advice

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Nippon India Overnight Fund Direct IDCW W RI - Nav Details

Nav Date

:  17-Sep-2025

NAV [Rs.]

:  100.0793

Buy/Resale Price [Rs.]

0

Sell/Repurchase Price [Rs.]

0

Entry Load %

Nil

Exit Load %

Nil

Nippon India Overnight Fund Direct IDCW W RI- NAV Chart

Nippon India Overnight Fund Direct IDCW W RI- Performance(%)

Returns above 1 yr. are annualized

1W
1M
3M
6M
1Y
3Y
5Y
Since INC
Scheme Returns
-
0.34
1.13
2.63
5.8
6.88
5.59
5.45
Category Avg
0.07
0.41
1.38
3.11
6.4
6.49
5.4
32.77
Category Best
0.3
1.29
48.66
52.51
57.8
21.89
14.24
10,060.48
Category Worst
-0.36
-0.69
-0.97
-5.02
-3.24
-
-
-

Nippon India Overnight Fund Direct IDCW W RI- Latest Dividends

Record DateDividend %Bonus
05-Sep-20250.1010

Nippon India Overnight Fund Direct IDCW W RI- Investment Details

Min. Investment(Rs.)

100

Increm.Investment(Rs.)

100

In & Out

In

InName Of The CompanyNo Of Shares
--

Out

InName Of The CompanyNo Of Shares
--

Fund Holdings

Asset Type
Instrument Name
Industry
Net Assets(%)
No of Shares
Mkt Value(Cr.)
Money Market Investments
T BillsTBILL-182D-/-2.1115000000149.93
T BillsTBILL-182D-/-1.7512500000124.68
T BillsTBILL-182D-/-1.6111500000114.82
T BillsTBILL-364D-/-0.56400000039.98
T BillsTBILL-91D-/-0.21150000014.96
Cash & Cash Equivalent
Reverse RepoReverse Repo-/-83.3405,928.13
Reverse RepoCorporate Bond Repo-/-4.910349.84
Reverse RepoCorporate Bond Repo-/-4.490319.85
Reverse RepoTREPS-/-0.74052.64
Cash & Cash EquivalentC C I-/-0.40028.49
Net CA & OthersNet CA & Others-/--0.150-10.14

Invest wise with Expert advice

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MY WEALTH AT RETIREMENT

Calculate the worth of your wealth at retirement

Key information

Fund House:
Nippon India Mutual Fund
Incorporation Date:
24-Feb-1995
Total Assets Managed (Cr.):
6,17,875.24
Trustee/s:
Mr. A N Shanbhag - Associ, Nippon Life India Trustee
Chairman:
NA
CEO / MD:
Mr. Sundeep Sikka
CIO:
NA
President:
NA
Director/s:
Mr. Akira Shibata, Mr. Sushil C. Tripathi, Mr. Kazuhide Toda, Mr. Takayuki Murai
Compliance Officer/s:
Mr. Muneesh Sud
Investor Service Officer/s:
Mr. Milind Nesarikar
Fund Manager/s:
Vikas Agrawal
Auditors:
Haribhakti & Co LLP Chart

OTHER INFORMATION

Registered Office:
4th Floor, Tower A, Peninsula Busines -s Park, Ganapatrao Kadam Marg Lower Parel (W), Mumbai - 400013.
Contact Nos:
022-68087000/1860260111
Fax:
022-68087097
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1860-267-3000 / 7039-050-000

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+91 9892691696

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