Nippon India Flexi Cap Fund

Equity Small CapVery High RiskGrowthInception 13-Aug-2021

Overview

Current NAV
17.8396
As on 30-Dec-2025
Fund Size
9,632.16 Cr
Managed by Manish Gunwani
Expense Ratio
0.47%
Latest reported
Exit Load Rules
1
Conditions apply

Scheme Snapshot

This growth scheme operates in the equity small cap category with a risk profile of Very High Risk. Inception date 13-Aug-2021. Use the navigation above to explore performance, risk, portfolio holdings, analysis & exit load structure.

Data shown is for informational purposes only and may be delayed.

Returns

Green = Positive, Red = Negative
PeriodAbsolute %CAGR %Category %Index %
1D-0.42
1W-0.99
1M-1.16
3M2.442.99
6M0.42-0.37
1Y2.912.19
3Y17.5417.5415.99
5Y15.61
10Y

Top Holdings

Portfolio Allocation (Top 8+)

HDFC Bank Ltd.
EQ
Financial
6.94
ICICI Bank Ltd.
EQ
Financial
4.54
Reliance Industries Ltd.
EQ
Energy
3.99
Axis Bank Ltd.
EQ
Financial
3.90
Infosys Ltd.
EQ
Technology
3.85
Larsen & Toubro Ltd.
EQ
Construction
3.51
Bajaj Finance Ltd.
EQ
Financial
2.76
Mahindra & Mahindra Ltd.
EQ
Automobile
2.73
Maruti Suzuki India Ltd.
EQ
Automobile
2.53
Bharti Airtel Ltd.
EQ
Communication
2.18
Vedanta Ltd.
EQ
Metals & Mining
2.07
SBI Life Insurance Company Ltd.
EQ
Insurance
1.70

Analysis Highlights

PROS
Lower expense ratio: 0.47%
PROS
Consistently higher annualised returns than category average for the past 1Y and 3Y
PROS
Higher alpha: 1.78 The fund has generated returns higher than benchmark - NIFTY 500 Total Return Index - in the last 3Y

Exit Load

  • Exit load for units in excess of 10% of the investment,1% will be charged for redemption within 365 days2021-07-26
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