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Summary Info
Fund Name Nippon India Mutual Fund
Scheme Name Nippon India Vision Large & Mid Cap Fund - (G)
AMC Nippon India Mutual Fund
Type Open
Category Equity - Diversified
Launch Date 25-Sep-95
Fund Manager Aishwarya Deepak Agarwal
Net Assets ()Cr 6,751.46
NAV Graph
  One Month   Three Month   Six Month   One Year   Three Year   Five Year   Since INC
Latest Payouts
Dividends Bonus
Ratio NA NA
Date NA NA
Performance(%)
1 Week[%] 1 Month[%] 3 Month[%] 6 Month[%] 1 Year[%] 3 Year[%] 5 Year[%] Since INC[%]
Scheme Return -0.58 4.69 0.07 1.98 16.55 22.00 16.97 17.90
Category Avg -0.92 3.94 -1.01 0.78 15.33 19.32 16.10 13.39
Category Best 1.62 11.87 10.85 20.09 46.89 37.46 28.65 40.35
Category Worst -6.38 -11.81 -17.93 -17.15 -7.35 3.10 4.32 -16.94
Holdings
Company Name No of Shares Market Value Hold %
ICICI Bank 2,300,000 311.65 4.62
HDFC Bank 3,150,000 292.71 4.34
Reliance Industr 2,000,000 279.08 4.13
Axis Bank 1,400,000 191.86 2.84
Vedanta 2,500,002 170.39 2.52
SBI 1,508,432 162.48 2.41
FSN E-Commerce 6,500,547 154.39 2.29
Jindal Steel 1,300,000 147.16 2.18
TVS Motor Co. 395,839 145.57 2.16
B H E L 5,100,000 133.98 1.98
Bajaj Finance 1,392,330 129.47 1.92
Indian Hotels Co 1,890,821 127.47 1.89
M & M 361,403 124.03 1.84
Cholaman.Inv.&Fn 750,000 122.37 1.81
Infosys 735,229 120.65 1.79
UltraTech Cem. 90,000 114.25 1.69
Persistent Syste 185,000 111.65 1.65
Blue Star 596,143 108.31 1.60
BSE 381,964 106.84 1.58
Coforge 626,940 103.68 1.54
NTPC 2,770,406 98.63 1.46
Federal Bank 3,360,602 96.70 1.43
L&T Finance Ltd 3,320,081 95.07 1.41
Varun Beverages 2,000,000 94.25 1.40
Samvardh. Mothe. 8,173,449 92.28 1.37
Titan Company 231,902 92.24 1.37
One 97 800,000 91.00 1.35
AU Small Finance 911,163 89.51 1.33
Biocon 2,383,678 87.43 1.30
Maruti Suzuki 60,000 87.59 1.30
Eicher Motors 120,000 85.47 1.27
Astral 570,755 84.28 1.25
J K Cements 150,000 82.85 1.23
KEI Industries 200,000 80.42 1.19
Apollo Hospitals 110,000 76.57 1.13
Shriram Finance 700,000 71.40 1.06
Bank of Baroda 2,332,170 69.83 1.03
Ipca Labs. 470,000 69.13 1.02
Ashok Leyland 3,500,000 68.84 1.02
Eternal 2,500,000 68.40 1.01
Larsen & Toubro 169,434 66.63 0.99
O N G C 2,467,500 66.37 0.98
LTIMindtree 108,982 65.11 0.96
H P C L 1,501,000 64.09 0.95
Interglobe Aviat 140,000 64.35 0.95
Dixon Technolog. 60,000 62.68 0.93
TCS 200,000 62.48 0.93
PB Fintech. 375,059 62.05 0.92
Britannia Inds. 105,000 61.54 0.91
CG Power & Ind 1,000,000 58.41 0.87
HDFC Life Insur. 800,000 58.48 0.87
Fortis Health. 693,545 59.06 0.87
SRF 205,567 57.89 0.86
Uno Minda 481,898 56.97 0.84
ICICI Lombard 308,337 55.94 0.83
K P R Mill Ltd 642,212 55.84 0.83
Vishal Mega Mart 4,248,064 53.50 0.79
Godrej Consumer 450,000 51.93 0.77
Gujarat Fluoroch 168,016 51.30 0.76
Trent 128,184 48.52 0.72
GE Vernova T&D 125,000 40.38 0.60
Bharti Airtel 200,000 39.37 0.58
IndusInd Bank 400,000 35.84 0.53
NTPC Green Ene. 3,972,875 34.23 0.51
Cummins India 80,867 33.26 0.49
Bharat Dynamics 212,002 32.61 0.48
United Breweries 213,963 31.42 0.47
Jubilant Food. 627,500 31.19 0.46
Hyundai Motor I 136,412 29.96 0.44
Hind.Aeronautics 60,000 27.72 0.41
Hind. Unilever 100,000 23.73 0.35
Bharat Electron 430,000 19.31 0.29
Divi's Lab. 30,000 18.15 0.27
Kaynes Tech 50,000 17.38 0.26
Bharti Hexacom 105,896 16.36 0.24
HDFC AMC 58,641 14.75 0.22
Mphasis 50,000 13.80 0.20
Mazagon Dock 50,000 12.86 0.19
Coromandel Inter 52,963 12.09 0.18
Tata Consumer 100,000 11.34 0.17
Torrent Pharma. 25,000 9.90 0.15
Hitachi Energy 5,547 10.46 0.15
B P C L 251,005 9.15 0.14
Max Healthcare 91,160 8.72 0.13
Tube Investments 38,569 9.01 0.13
Multi Comm. Exc. 29,015 7.34 0.11
Radico Khaitan 16,109 4.56 0.07
L&T Technology 989 0.37 0.01
Kwality Wall's 100,000 0.40 0.01
TREPS 0 172.34 2.55
Net CA & Others 0 -0.36 -0.04
TVS Motor Co. 703,356 0.72 0.01
C C I 0 0.12 0.00