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  • Quick Comparison

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    Sub-Category

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    Risk

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    Min. SIP amount

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    Expense ratio

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    AUM

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    Fund Started

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    Fund Size

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    Exit Load

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    Scheme Index

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    Lock in period

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    Min. investment

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  • Return

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    2Y

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    3Y

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    5Y

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  • Holding Analysis

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    Top 20

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    Top 10 Sectors

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  • Ratios

    Alpha
    UM_Price-to-earnings ratio is the ratio used for the valuation of a company that determines the current share price with relation to the earning per share.

    Price-to-earnings ratio is the ratio used for the valuation of a company that determines the current share price with relation to the earning per share.

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    Beta
    UM_Is an indicator to the investor of how risky the fund can be as compared to the market.

    Is an indicator to the investor of how risky the fund can be as compared to the market.

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    Sharpe
    UM_The Sharpe ratio is an indicator of the potential returns from an investment after considering all the related risks.

    The Sharpe ratio is an indicator of the potential returns from an investment after considering all the related risks.

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    Sortino
    UM_A variation of the Sharpe ratio that aids in the differentiation of potentially harmful volatility from total risk by utilising the asset’s standard deviation.

    A variation of the Sharpe ratio that aids in the differentiation of potentially harmful volatility from total risk by utilising the asset’s standard deviation.

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  • More Details

    Launch Date

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    Fund Managers

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    Custodian

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    Registrar & transfer Agent

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Short Term Fund Direct Growth

The funds annualized returns for the past 3 years & 5 years has been around 6.98% & 6.99%. The Nippon India Short Term Fund comes under the Debt category of Nippon India Mutual Funds

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