
Nippon India Aggressive Hybrid Fund (Existing Number of Segregated Portfolios - 2) - Direct Plan - MONTHLY IDCW Option
Nippon India Mutual Fund · Aggressive Hybrid Fund · Direct · IDCW2/5 ★
NAV · as of 11/09/2026
18.53
1D
-0.27%1Y
-Key stats
- Expense ratio
- 1.12%
- AUM
- ₹4.07 K Cr
- Launched
- 09/08/2016
- Fund manager
- Meenakshi Dawar; Kinjal Desai; Sushil Budhia; Amber Singhania; Jignesh Kamani
- Portfolio turnover
- 0.29%
- Risk
- Very High Risk
- Min lump-sum
- ₹500
- Min SIP
- ₹100/mo
- Fresh lump-sum
- Accepted
- Fresh SIP
- Accepted
NAV history
Nippon India Aggressive Hybrid Fund (Existing Number of Segregated Portfolios - 2) - Direct Plan - MONTHLY IDCW Option
13/08/2026 to 11/09/2026
O - H - L -
Top holdings
131 disclosed- 1.4.92%
HDFC Bank Ltd
Financial Services
- 2.4.82%
ICICI Bank Ltd
Financial Services
- 3.3.66%
Larsen & Toubro Ltd
Industrials
- 4.3.60%
Bharti Airtel Ltd
Communication Services
- 5.3.13%
Axis Bank Ltd
Financial Services
- 6.3.09%
Triparty Repo
- 7.2.60%
Reliance Industries Ltd
Energy
- 8.2.49%
NTPC Ltd
Utilities
- 9.2.00%
Bajaj Finance Ltd
Financial Services
- 10.1.87%
State Bank of India
Financial Services
- 11.1.84%
Mahindra & Mahindra Ltd
Consumer Cyclical
- 12.1.48%
Sun Pharmaceuticals Industries Ltd
Healthcare
- 13.1.47%
Cube Highways Trust
Industrials
- 14.1.45%
Jindal Steel Ltd
Basic Materials
- 15.1.43%
TVS Motor Co Ltd
Consumer Cyclical
- 16.1.42%
Lupin Ltd
Healthcare
- 17.1.28%
Samvardhana Motherson International Ltd
Consumer Cyclical
- 18.1.28%
7.1% Govt Stock 2034
- 19.1.24%
Siemens Energy India Ltd
Utilities
- 20.1.23%
Eternal Ltd
Consumer Cyclical
- 21.1.21%
Tata Steel Ltd
Basic Materials
- 22.1.19%
Infosys Ltd
Technology
- 23.1.17%
L&T Finance Ltd
Financial Services
- 24.1.14%
InterGlobe Aviation Ltd
Industrials
- 25.1.13%
Muthoot Finance Limited - NCD & Bonds - NCD & Bonds
- 26.1.10%
Hindustan Aeronautics Ltd Ordinary Shares
Industrials
- 27.1.06%
Brookfield India Real Estate Trust
Real Estate
- 28.1.02%
UTI Asset Management Co Ltd
Financial Services
- 29.0.94%
Kirloskar Oil Engines Ltd
Industrials
- 30.0.90%
Tata Motors Ltd
Consumer Cyclical
- 31.0.88%
Adani Power Limited - NCD & Bonds - NCD & Bonds
- 32.0.87%
Apollo Hospitals Enterprise Ltd
Healthcare
- 33.0.86%
L&T Metro Rail (Hyderabad) Limited - NCD & Bonds - NCD & Bonds
- 34.0.81%
Coforge Ltd
Technology
- 35.0.81%
Hindustan Unilever Ltd
Consumer Defensive
- 36.0.79%
Suryapet Khammam Road Limited - NCD & Bonds - NCD & Bonds
- 37.0.78%
Torrent Power Limited - NCD & Bonds - NCD & Bonds
- 38.0.77%
Swiggy Ltd
Consumer Cyclical
- 39.0.74%
Rainbow Childrens Medicare Ltd
Healthcare
- 40.0.73%
Kotak Mahindra Bank Ltd
Financial Services
- 41.0.73%
Mindspace Business Parks REIT Unit
Real Estate
- 42.0.73%
7.09% Govt Stock 2054
- 43.0.72%
United Spirits Ltd
Consumer Defensive
- 44.0.72%
Bharat Heavy Electricals Ltd
Industrials
- 45.0.72%
Varun Beverages Ltd
Consumer Defensive
- 46.0.71%
HCL Technologies Ltd
Technology
- 47.0.70%
National Highways Infra Trust Units
Real Estate
- 48.0.69%
Equitas Small Finance Bank Ltd Ordinary Shares
Financial Services
- 49.0.68%
Coal India Ltd
Energy
- 50.0.68%
KEI Industries Ltd
Industrials
- 51.0.67%
PB Fintech Ltd
Financial Services
- 52.0.67%
Jtpm Metal TRaders Limited - NCD & Bonds - NCD & Bonds
- 53.0.67%
Voltas Ltd
Consumer Cyclical
- 54.0.64%
7.8% Gujarat Sdl 2032
- 55.0.63%
Andhra Pradesh State Beverages Corporation Limited - NCD & Bonds - NCD & Bonds
- 56.0.63%
Small Industries Development Bank Of India - NCD & Bonds - NCD & Bonds
- 57.0.63%
Vedanta Limited - NCD & Bonds - NCD & Bonds
- 58.0.62%
Vastu Finserve India Private Limited - NCD & Bonds - NCD & Bonds
- 59.0.62%
The Federal Bank Limited - NCD & Bonds - NCD & Bonds
- 60.0.62%
Indusind General Insurance Company Limited - NCD & Bonds - NCD & Bonds
- 61.0.62%
SBI Life Insurance Co Ltd
Financial Services
- 62.0.61%
NHPC Ltd
Utilities
- 63.0.59%
Dixon Technologies (India) Ltd
Technology
- 64.0.57%
Nexus Select Trust Reits
Real Estate
- 65.0.56%
NTPC Green Energy Ltd
Utilities
- 66.0.55%
Mancherial Repallewada Road Limited - NCD & Bonds - NCD & Bonds
- 67.0.53%
Tech Mahindra Ltd
Technology
- 68.0.51%
Kaynes Technology India Ltd
Technology
- 69.0.50%
Incred Financial Services Limited - NCD & Bonds - NCD & Bonds
- 70.0.50%
Indostar Capital Finance Limited - NCD & Bonds - NCD & Bonds
- 71.0.50%
Raajmarg Infra Investment Trust Units
Financial Services
- 72.0.49%
National Highways Infra TRust - NCD & Bonds - NCD & Bonds
- 73.0.49%
Radico Khaitan Ltd
Consumer Defensive
- 74.0.48%
Angel One Ltd Ordinary Shares
Financial Services
- 75.0.44%
Britannia Industries Ltd
Consumer Defensive
- 76.0.44%
Avenue Supermarts Ltd
Consumer Defensive
- 77.0.43%
Vishal Mega Mart Ltd
Consumer Cyclical
- 78.0.42%
Knowledge Realty Trust Units
Real Estate
- 79.0.41%
Cholamandalam Financial Holdings Ltd
Financial Services
- 80.0.41%
Meesho Ltd
Consumer Cyclical
- 81.0.40%
Mphasis Ltd
Technology
- 82.0.39%
7.41% Govt Stock 2036
- 83.0.39%
Siemens Ltd
Industrials
- 84.0.39%
Titan Co Ltd
Consumer Cyclical
- 85.0.38%
Delhivery Ltd
Industrials
- 86.0.36%
Trent Ltd
Consumer Cyclical
- 87.0.36%
ICICI Lombard General Insurance Co Ltd
Financial Services
- 88.0.35%
Fortis Healthcare Ltd
Healthcare
- 89.0.34%
Medplus Health Services Ltd
Healthcare
- 90.0.33%
APtus Finance India Private Limited - NCD & Bonds - NCD & Bonds
- 91.0.32%
ACME Solar Holdings Ltd
Utilities
- 92.0.32%
Info Edge (India) Ltd
Communication Services
- 93.0.31%
Crompton Greaves Consumer Electricals Ltd
Consumer Cyclical
- 94.0.31%
Whirlpool of India Ltd
Consumer Cyclical
- 95.0.31%
Cholamandalam Investment And Finance Company Limited - NCD & Bonds - NCD & Bonds
- 96.0.30%
Gland Pharma Ltd
Healthcare
- 97.0.29%
CESC Ltd
Utilities
- 98.0.29%
Electronics Mart India Ltd
Consumer Cyclical
- 99.0.29%
Oil & Natural Gas Corp Ltd
Energy
- 100.0.29%
Tube Investments of India Ltd Ordinary Shares
Industrials
- 101.0.28%
Unicommerce eSolutions Ltd
Technology
- 102.0.27%
KFin Technologies Ltd
Technology
- 103.0.27%
Cholamandalam Investment and Finance Co Ltd
Financial Services
- 104.0.26%
8.35% Gujarat Sdl 2029
- 105.0.25%
Net Current Assets
- 106.0.25%
Telangana (Government of) 7.76%
- 107.0.25%
National Bank For Agriculture And Rural Development - NCD & Bonds - NCD & Bonds
- 108.0.25%
Vedanta Limited - NCD & Bonds - NCD & Bonds
- 109.0.25%
7.3% Govt Stock 2053
- 110.0.25%
Kotak Mahindra Investments Limited - NCD & Bonds - NCD & Bonds
- 111.0.23%
7.18% Govt Stock 2037
- 112.0.23%
Bharat Petroleum Corp Ltd
Energy
- 113.0.22%
JSW Cement Ltd
Basic Materials
- 114.0.18%
National Highways Infra TRust - NCD & Bonds - NCD & Bonds
- 115.0.16%
JK Cement Ltd
Basic Materials
- 116.0.15%
Telangana State Industrial Infrastructure Corporation Limited - NCD & Bonds - NCD & Bonds
- 117.0.15%
Vedanta Limited - NCD & Bonds - NCD & Bonds
- 118.0.13%
Au Small Finance Bank Limited - NCD & Bonds - NCD & Bonds
- 119.0.12%
IndiGrid Infrastructure Trust Units Series - IV
Utilities
- 120.0.12%
Latent View Analytics Ltd
Industrials
- 121.0.10%
Westlife Foodworld Ltd
Consumer Cyclical
- 122.0.08%
L&T Technology Services Ltd
Technology
- 123.0.05%
7.42% Tamilnadu Sgs 2034
- 124.0.02%
Cash Margin - Ccil
- 125.0.02%
Tvs Motor Company Limited
- 126.0.00%
6.68% Govt Stock 2031
- 127.0.00%
Kwality Walls India Ltd
Consumer Defensive
- 128.0.00%
7.57% Govt Stock 2033
- 129.0.00%
6.17% Govt Stock 2028
- 130.0.00%
7.26% Govt Stock 2029
- 131.-
Summit Digitel Infrastructure Limited - NCD & Bonds - NCD & Bonds
Sector allocation
- Financial Services23.67%
- Unclassified20.34%
- Industrials10.89%
- Consumer Cyclical10.73%
- Utilities5.64%
- Healthcare5.50%
- Technology5.37%
- Communication Services3.92%
- Energy3.80%
- Consumer Defensive3.63%
- Real Estate3.47%
- Basic Materials3.04%
Comparable peers
Bank Of India Aggressive Hybrid IDCW Reinvest Direct Plan
Bank Of India Aggressive Hybrid IDCW Reinvest (DR) · ₹1.84 K Cr AUM
1Y+16.63%3Y+17.21%-Bank Of India Aggressive Hybrid IDCW Payout Direct Plan
Bank Of India Aggressive Hybrid IDCW Payout (DP) · ₹1.84 K Cr AUM
1Y+16.63%3Y+17.21%-Bandhan Aggressive Hybrid IDCW Payout Direct Plan
Bandhan Aggressive Hybrid IDCW Payout (DP) · ₹2.41 K Cr AUM
1Y+8.28%3Y+14.17%-Bandhan Aggressive Hybrid IDCW Reinvest Direct Plan
Bandhan Aggressive Hybrid IDCW Reinvest (DR) · ₹2.41 K Cr AUM
1Y+8.28%3Y+14.17%-Nippon India Aggressive Hybrid Monthly IDCW Reinvest Direct Plan
Nippon India Aggressive Hybrid Monthly IDCW Reinvest (DR) · ₹4.07 K Cr AUM
1Y+0.98%3Y+10.28%-
Investment objective
The primary investment objective of this option is to generate consistent returns and appreciation of capital by investing in a mix of securities comprising of equity, equity related instruments & fixed income instruments.
Scheme details
- Scheme code
- 139679
- Fund house
- Nippon India Mutual Fund
- Category
- Open Ended
- Type
- Hybrid Schemes
- Sub-category
- Aggressive Hybrid Fund
- Plan
- Direct
- Return type
- IDCW
- ISIN (Growth)
- INF204KB1BD7
- ISIN (Div. Reinvest)
- INF204KB1BE5
- Tradable on exchange
- No