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Nippon India Us Equity Opportunities Fund Idcw
NAV (Nov 28,2023)
Nippon India Us Equity Opportunities Fund Idcw Latest Trend
- 1M
- 2M
- 3M
Nippon India Us Equity Opportunities Fund Idcw Latest Trend
Risk Ratios
- P/E Ratio0
- P/B Ratio0
- Alpha0
- Beta0
- Sharpe0.07
- Sortino0.14
Fund Overview
2.43%
0%
No Lock-in
₹ 562.69 Cr
SIP ₹100.00
Scheme Riskometer
Investors understand that their principal will be at
Very High
Investment Return Calculator
as on Nov 30, 2023
Total Invested Amount | 3 Months Absolute Return (In %) | 6 Months Absolute Return (In %) | 1 Year Absolute Return (In %) | 3 Year Absolute Return (In %) | 5 Year Absolute Return (In %) |
---|---|---|---|---|---|
₹ 10,000 | ₹ 10,523.2 (5.23%) | ₹ 11,114.12 (11.14%) | ₹ 12,502.76 (25.03%) | ₹ 12,814.17 (28.14%) | ₹ 18,627.21 (86.27%) |
₹ 30,000 | ₹ 31,569.6 (5.23%) | ₹ 33,342.36 (11.14%) | ₹ 37,508.28 (25.03%) | ₹ 38,442.51 (28.14%) | ₹ 55,881.63 (86.27%) |
₹ 50,000 | ₹ 52,616 (5.23%) | ₹ 55,570.6 (11.14%) | ₹ 62,513.8 (25.03%) | ₹ 64,070.85 (28.14%) | ₹ 93,136.05 (86.27%) |
₹ 80,000 | ₹ 84,185.6 (5.23%) | ₹ 88,912.96 (11.14%) | ₹ 1,00,022.08 (25.03%) | ₹ 1,02,513.36 (28.14%) | ₹ 1,49,017.68 (86.27%) |
₹ 1,00,000 | ₹ 1,05,232 (5.23%) | ₹ 1,11,141.2 (11.14%) | ₹ 1,25,027.6 (25.03%) | ₹ 1,28,141.7 (28.14%) | ₹ 1,86,272.1 (86.27%) |
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Fund Portfolio Allocation
- Holdings
- Sectors
Name
Assets
- Microsoft Corp9.52%
- Alphabet Inc A7.46%
- Amazon Com Inc6.23%
- Cencora Inc6.02%
- Mastercard Incorporated5.76%
- Iqvia Holdings5.76%
- Booking Holdings Inc5.71%
- Meta Platforms Registered Shares A5.18%
- Elevance Health Inc4.70%
- Charles Schwab Corp4.67%
- Visa Inc4.37%
- Adobe Inc3.98%
- Taiwan Semiconductor Manufacturing Co Ltd3.80%
- Air Products & Chemicals Inc3.02%
- Unitedhealth Group Inc3.00%
- Carmax Inc2.68%
- QUALCOMM INC2.64%
- The Walt Disney Company2.56%
- Fidelity National Information Services I2.40%
- FISERV INC COM1.87%
- VEEVA SYSTEMS INC1.65%
- Triparty Repo1.53%
- Salesforce Inc1.49%
- Ecolab Inc1.28%
- AUTODESK INC COM1.13%
- Netflix Inc1.07%
- CVS Health Corp1.00%
- Baidu Inc Spon ADR0.03%
- Cash Margin CCIL0.01%
- Net Current Assets-0.51%
- Miscellaneous98.94%
Holdings Analysis
Peer Comparison
Pick your choice with our quick comparitive analysis
- 6M
- 1Y
- 3Y
- 5Y
Mutual Fund Schemes | Category | Risk | Absolute Return (6M) |
| EQUITY | Very High | 26.06% |
| EQUITY | Very High | 23.99% |
| EQUITY | Very High | 21.86% |
| EQUITY | Very High | 17.16% |
| EQUITY | Very High | 15.77% |
| EQUITY | Very High | 15.19% |
| EQUITY | Very High | 13.34% |
| EQUITY | Very High | 12.81% |
| EQUITY | Very High | 11.21% |
| EQUITY | Very High | 10.01% |
Mutual Fund Schemes | Category | Risk | Absolute Return (6Y) |
| EQUITY | Very High | 33.16% |
| EQUITY | Very High | 28.09% |
| EQUITY | Very High | 20.31% |
| EQUITY | Very High | 16.06% |
| EQUITY | Very High | 15.34% |
| EQUITY | Very High | 14.55% |
| EQUITY | Very High | 14.52% |
| EQUITY | Very High | 13.46% |
| EQUITY | Very High | 13.38% |
| EQUITY | Very High | 8.36% |
Mutual Fund Schemes | Category | Risk | Absolute Return (6Y) |
| EQUITY | Very High | 24.09% |
| EQUITY | Very High | 22.31% |
| EQUITY | Very High | 21.36% |
| EQUITY | Very High | 19.85% |
| EQUITY | Very High | 16.71% |
| EQUITY | Very High | 16.22% |
| EQUITY | Very High | 14.93% |
| EQUITY | Very High | 12.00% |
| EQUITY | Very High | 11.08% |
| EQUITY | Very High | 10.66% |
Mutual Fund Schemes | Category | Risk | Absolute Return (6Y) |
| EQUITY | Very High | 20.68% |
| EQUITY | Very High | 20.58% |
| EQUITY | Very High | 19.19% |
| EQUITY | Very High | 18.89% |
| EQUITY | Very High | 16.24% |
| EQUITY | Very High | 15.40% |
| EQUITY | Very High | 15.13% |
| EQUITY | Very High | 14.88% |
| EQUITY | Very High | 14.34% |
| EQUITY | Very High | 8.73% |
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Nippon India US Equity Opportunities Fund - IDCW

Nippon India US Equity Opportunities Fund - IDCW

Nippon India US Equity Opportunities Fund - IDCW