Nippon India Mutual Fund
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Nippon India Conservative Hybrid Fund (Existing number of Segregated Portfolios - 1) - Direct Plan - MONTHLY IDCW Option

Nippon India Mutual Fund · Conservative Hybrid Fund · Direct · IDCW3/5 ★

NAV · as of 11/09/2026

11.67

1D

-0.12%

1Y

-

Key stats

Expense ratio
1.00%
AUM
₹983.70 Cr
Launched
01/01/2013
Fund manager
Dhrumil Shah; Kinjal Desai; Sushil Budhia; Akshay Sharma; Amber Singhania
Risk
High Risk
Min lump-sum
₹5,000
Min SIP
₹100/mo
Fresh lump-sum
Accepted
Fresh SIP
Accepted

NAV history

Nippon India Conservative Hybrid Fund (Existing number of Segregated Portfolios - 1) - Direct Plan - MONTHLY IDCW Option

12/08/2026 to 11/09/2026

O - H - L -

11.8111.6712/08/202611/09/2026
1W-0.26%
1M-1.07%
3M-0.74%
MAX-0.07%

Top holdings

97 disclosed
  • 1.

    7.03% Tamilnadu SDL 2030

    5.11%
  • 2.

    Triumph Composites Private Limited - NCD & Bonds - NCD & Bonds

    4.09%
  • 3.

    Adani Airport Holdings Limited - NCD & Bonds - NCD & Bonds

    4.05%
  • 4.

    Delhi International Airport Limited - NCD & Bonds - NCD & Bonds

    3.75%
  • 5.

    Aditya Birla Real Estate Limited - NCD & Bonds - NCD & Bonds

    3.58%
  • 6.

    GMR Airports Limited - NCD & Bonds - NCD & Bonds

    3.43%
  • 7.

    GAursons India Private Limited - NCD & Bonds - NCD & Bonds

    3.35%
  • 8.

    Auxilo Finserve Private Limited - NCD & Bonds - NCD & Bonds

    3.06%
  • 9.

    Muthoot Fincorp Limited - NCD & Bonds - NCD & Bonds

    3.05%
  • 10.

    Navi Finserv Limited - NCD & Bonds - NCD & Bonds

    3.04%
  • 11.

    Jsw Jfe Kalinga Steel Limited - NCD & Bonds - NCD & Bonds

    2.64%
  • 12.

    Suryapet Khammam Road Limited - NCD & Bonds - NCD & Bonds

    2.57%
  • 13.

    TRuhome Finance Limited - NCD & Bonds - NCD & Bonds

    2.57%
  • 14.

    Vedanta Aluminium Metal Limited - NCD & Bonds - NCD & Bonds

    2.57%
  • 15.

    Small Industries Development Bank Of India - NCD & Bonds - NCD & Bonds

    2.56%
  • 16.

    Hiranandani Financial Services Private Limited - NCD & Bonds - NCD & Bonds

    2.55%
  • 17.

    Adani Power Limited - NCD & Bonds - NCD & Bonds

    2.54%
  • 18.

    Mindspace Business Parks Reit - NCD & Bonds - NCD & Bonds

    2.53%
  • 19.

    6.57% Tamilnadu SDL 2031

    2.50%
  • 20.

    Mancherial Repallewada Road Limited - NCD & Bonds - NCD & Bonds

    2.44%
  • 21.

    Jtpm Metal TRaders Limited - NCD & Bonds - NCD & Bonds

    2.20%
  • 22.

    Trust Investment Advisors Private Limited - Commercial Paper - Commercial Paper

    2.02%
  • 23.

    Bamboo Hotel And Global Centre (Delhi) Private Limited - NCD & Bonds - NCD & Bonds

    1.74%
  • 24.

    Brookfield India Real Estate Trust

    Real Estate

    1.55%
  • 25.

    Adani TRansmission Step-Two Limited - NCD & Bonds - NCD & Bonds

    1.52%
  • 26.

    Net Current Assets

    1.50%
  • 27.

    Vastu Finserve India Private Limited - NCD & Bonds - NCD & Bonds

    1.49%
  • 28.

    Mindspace Business Parks REIT Unit

    Real Estate

    1.43%
  • 29.

    Cube Highways Trust

    Industrials

    1.29%
  • 30.

    Nexus Select Trust Reits

    Real Estate

    1.20%
  • 31.

    Knowledge Realty Trust Units

    Real Estate

    1.18%
  • 32.

    Andhra Pradesh State Beverages Corporation Limited - NCD & Bonds - NCD & Bonds

    1.03%
  • 33.

    6.54% Govt Stock 2032

    1.02%
  • 34.

    Arka Fincap Limited - NCD & Bonds - NCD & Bonds

    1.02%
  • 35.

    Adani Power Limited - NCD & Bonds - NCD & Bonds

    1.02%
  • 36.

    Veritas Finance Limited - NCD & Bonds - NCD & Bonds

    1.00%
  • 37.

    HDFC Bank Ltd

    Financial Services

    0.87%
  • 38.

    Reliance Industries Ltd

    Energy

    0.83%
  • 39.

    ICICI Bank Ltd

    Financial Services

    0.80%
  • 40.

    Triparty Repo

    0.72%
  • 41.

    AU Small Finance Bank Ltd

    Financial Services

    0.71%
  • 42.

    Raajmarg Infra Investment Trust

    0.67%
  • 43.

    Niwas Housing Finance Private Limited - NCD & Bonds - NCD & Bonds

    0.61%
  • 44.

    Bharti Airtel Ltd

    Communication Services

    0.53%
  • 45.

    7.15% Rajasthan Sdl 2031

    0.51%
  • 46.

    State Bank of India

    Financial Services

    0.46%
  • 47.

    Larsen & Toubro Ltd

    Industrials

    0.42%
  • 48.

    Vedanta Limited - NCD & Bonds - NCD & Bonds

    0.41%
  • 49.

    Infosys Ltd

    Technology

    0.40%
  • 50.

    Mahindra & Mahindra Ltd

    Consumer Cyclical

    0.36%
  • 51.

    Maruti Suzuki India Ltd

    Consumer Cyclical

    0.34%
  • 52.

    Bajaj Finance Ltd

    Financial Services

    0.32%
  • 53.

    Axis Bank Ltd

    Financial Services

    0.32%
  • 54.

    Telangana State Industrial Infrastructure Corporation Limited - NCD & Bonds - NCD & Bonds

    0.32%
  • 55.

    ITC Ltd

    Consumer Defensive

    0.30%
  • 56.

    Tata Consultancy Services Ltd

    Technology

    0.29%
  • 57.

    Corporate Debt Market Development Fund Class A2

    0.29%
  • 58.

    APtus Finance India Private Limited - NCD & Bonds - NCD & Bonds

    0.25%
  • 59.

    Kotak Mahindra Bank Ltd

    Financial Services

    0.24%
  • 60.

    Titan Co Ltd

    Consumer Cyclical

    0.23%
  • 61.

    Sun Pharmaceuticals Industries Ltd

    Healthcare

    0.23%
  • 62.

    Bajaj Auto Ltd

    Consumer Cyclical

    0.23%
  • 63.

    Muthoot Mcred Limited - NCD & Bonds - NCD & Bonds

    0.21%
  • 64.

    Hindustan Unilever Ltd

    Consumer Defensive

    0.21%
  • 65.

    Niwas Housing Finance Private Limited - NCD & Bonds - NCD & Bonds

    0.20%
  • 66.

    JSW Energy Ltd

    Utilities

    0.20%
  • 67.

    IndusInd Bank Ltd

    Financial Services

    0.19%
  • 68.

    NTPC Ltd

    Utilities

    0.18%
  • 69.

    Hindalco Industries Ltd

    Basic Materials

    0.17%
  • 70.

    Hero MotoCorp Ltd

    Consumer Cyclical

    0.17%
  • 71.

    Tata Steel Ltd

    Basic Materials

    0.16%
  • 72.

    HCL Technologies Ltd

    Technology

    0.16%
  • 73.

    UltraTech Cement Ltd

    Basic Materials

    0.15%
  • 74.

    Grasim Industries Ltd

    Basic Materials

    0.14%
  • 75.

    JSW Steel Ltd

    Basic Materials

    0.14%
  • 76.

    Asian Paints Ltd

    Basic Materials

    0.14%
  • 77.

    Bajaj Finserv Ltd

    Financial Services

    0.13%
  • 78.

    Power Grid Corp Of India Ltd

    Utilities

    0.13%
  • 79.

    Eicher Motors Ltd

    Consumer Cyclical

    0.13%
  • 80.

    Divi's Laboratories Ltd

    Healthcare

    0.12%
  • 81.

    Nestle India Ltd

    Consumer Defensive

    0.12%
  • 82.

    Oil & Natural Gas Corp Ltd

    Energy

    0.10%
  • 83.

    Eris Lifesciences Limited - NCD & Bonds - NCD & Bonds

    0.10%
  • 84.

    Apollo Hospitals Enterprise Ltd

    Healthcare

    0.10%
  • 85.

    Coal India Ltd

    Energy

    0.09%
  • 86.

    Tata Motors Ltd

    Consumer Cyclical

    0.09%
  • 87.

    SBI Life Insurance Co Ltd

    Financial Services

    0.09%
  • 88.

    Cipla Ltd

    Healthcare

    0.09%
  • 89.

    Dr Reddy's Laboratories Ltd

    Healthcare

    0.08%
  • 90.

    Tata Consumer Products Ltd

    Consumer Defensive

    0.07%
  • 91.

    Britannia Industries Ltd

    Consumer Defensive

    0.07%
  • 92.

    Tata Motors Passenger Vehicles Ltd

    Consumer Cyclical

    0.07%
  • 93.

    Wipro Ltd

    Technology

    0.06%
  • 94.

    HDFC Life Insurance Co Ltd

    Financial Services

    0.06%
  • 95.

    ITC Hotels Ltd

    Consumer Cyclical

    0.01%
  • 96.

    Cash Margin - Ccil

    0.01%
  • 97.

    Cash

    0.00%

Sector allocation

  • Unclassified81.83%
  • Real Estate5.35%
  • Financial Services4.19%
  • Industrials1.72%
  • Consumer Cyclical1.64%
  • Energy1.03%
  • Technology0.91%
  • Basic Materials0.89%
  • Consumer Defensive0.77%
  • Healthcare0.62%
  • Communication Services0.53%
  • Utilities0.51%

Comparable peers

  • Nippon India Conservative Hybrid Monthly IDCW Reinvest Direct Plan

    Nippon India Conservative Hybrid Monthly IDCW Reinvest (DR) · ₹983.70 Cr AUM

    1Y+7.03%
    3Y+8.56%
    -
  • Parag Parikh Conservative Hybrid Monthly Income Distribution Cum Capital Withdrawal IDCW Payout Direct Plan

    Parag Parikh Conservative Hybrid Monthly Income Distribution Cum Capital Withdrawal IDCW Payout (DP) · ₹3.47 K Cr AUM

    1Y+5.76%
    3Y+9.50%
    -
  • Parag Parikh Conservative Hybrid Monthly Income Distribution Cum Capital Withdrawal IDCW Reinvest Direct Plan

    Parag Parikh Conservative Hybrid Monthly Income Distribution Cum Capital Withdrawal IDCW Reinvest (DR) · ₹3.47 K Cr AUM

    1Y+5.76%
    3Y+9.50%
    -
  • Parag Parikh Conservative Hybrid Monthly Income Distribution Cum Capital Withdrawal IDCW Payout Direct Plan

    Parag Parikh Conservative Hybrid Monthly Income Distribution Cum Capital Withdrawal IDCW Payout (DP) · ₹3.47 K Cr AUM

    1Y+5.76%
    3Y+9.50%
    -
  • HSBC Conservative Hybrid Quarterly IDCW Reinvest Direct Plan

    HSBC Conservative Hybrid Quarterly IDCW Reinvest (DR) · ₹153.90 Cr AUM

    1Y+3.10%
    3Y+8.92%
    -

Investment objective

The primary investment objective of the scheme is to generate regular income in order to make regular dividend payments to unitholders and the secondary objective is growth of capital.

Scheme details

Scheme code
118727
Fund house
Nippon India Mutual Fund
Category
Open Ended
Type
Hybrid Scheme
Sub-category
Conservative Hybrid Fund
Plan
Direct
Return type
IDCW
ISIN (Growth)
INF204K01YW2
ISIN (Div. Reinvest)
INF204K01YX0
Tradable on exchange
No

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