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Nippon India Multi Asset Allocation Fund - Regular
Nippon India Multi Asset Allocation Fund - Regular Plan - Growth Option
Nippon India · Multi Asset
Moderate
₹24.41
Current NAV
25 Jun 2026
31.7%
1Y Return
11.7%
3Y CAGR
21.7%
5Y CAGR
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Analysis & Suitability
Pros / Upsides
Exceptional short-term performance with a 1-year return exceeding 20%.
Generates significant excess returns relative to benchmark index (Alpha: 6.77).
Very large asset base (AUM: ₹20,820 Cr) indicating high investor trust and liquidity.
Cons / Risks
Lower risk-adjusted performance compared to top peers in the same category.
Suitable for
Systematic investments (SIP) for long-term target goal-based planning.
Not suitable for
Short-term trading or speculative investment horizons.
Risk Profile:
Moderate Risk
Low
Moderate
High
Very High
Risk Metrics
0.77
Sharpe Ratio
0.97
Beta
6.77
Alpha
1.05
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Fund Details
Fund House
Nippon India
Category
Multi Asset
AUM
₹20820 Cr
Expense Ratio
1.37%
Min SIP
₹500
Min Lumpsum
₹1000
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