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Nippon India Gilt Securities Pf

NAV (direct) : 32.2249

(32.2922)

NAV (regular) : 24.8762

(24.9288)
Debt - Gilt
Last Updated on 06-Mar-2021

Nippon India Gilt Securities Pf net asset value or NAV dropped from 32.2922 to 32.2249 since last working day

Nippon India Gilt Securities Pf last 1 year returns is 5.71%

Nippon India Gilt Securities Pf last 3 year returns is 11.18%

Nippon India Gilt Securities Pf last 5 year returns is 10.79%

Nippon India Gilt Securities Pf returns since launch is 10.36%

Nippon India Gilt Securities Pf asset under management or AUM is 1,580.41 crores

Nippon India Gilt Securities Pf one year annualised return is 5.71 compared to benchmark CRISIL Dynamic Gilt Total Return Index one year annualised return of 5.94

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