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Nippon India Q Interval Series Iii

NAV (direct) : 16.6986

(16.6972)

NAV (regular) : 27.2042

(27.2022)
Debt - FMP
Last Updated on 26-Feb-2021

Nippon India Q Interval Series Iii net asset value or NAV jumped from 16.6972 to 16.6986 since last working day

Nippon India Q Interval Series Iii last 1 year returns is 2.89%

Nippon India Q Interval Series Iii last 3 year returns is 5.61%

Nippon India Q Interval Series Iii last 5 year returns is 6.21%

Nippon India Q Interval Series Iii returns since launch is 7.09%

Nippon India Q Interval Series Iii asset under management or AUM is 4.84 crores

Nippon India Q Interval Series Iii one year annualised return is 2.89 compared to benchmark CRISIL Liquid Fund Total Return Index one year annualised return of 4.29

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