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Index Fund📊 NIFTY 500 LOW VOLATILITY 50 TRI

Nippon India Nifty 500 Low Volatility 50 Index Fund · Regular · Growth

Nippon India Mutual Fund

#117 of 253 (1Y)

NAV

₹10.6647

as of 15 Jul 2026

Expense Ratio

0.93%

AUM

₹24 Cr

Viewing Regular · Growth
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Lumpsum returns (CAGR)

1Y
+1.52%
3Y
5Y
Since Inception
+5.18%

SIP returns (XIRR)

1Y
-0.13%
3Y
5Y
Since Inception
+0.97%

Not enough verified history to show honest backtest scenarios (this fund is under 3 years old).

Risk Metrics

Trailing 1 year, annualised

-0.04

Sharpe Ratio

Alpha

Beta

-0.04

Sortino

11.89%

Std Dev

-12.35%

Max Drawdown

Performance Comparison

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Fund Details

Fund HouseNippon India Mutual Fund
CategoryIndex Fund
BenchmarkNIFTY 500 LOW VOLATILITY 50 TRI
Launch Date07 May 2025
AMFI Code153475
Transaction facts
Min. Lumpsum₹1,000
Min. SIP₹100
Exit LoadNA

Available transactions

PurchaseSIPRedeemSWPSwitchSTPDemat

Investment Objective

Nippon India Nifty 500 Low Volatility 50 Index Fund · Regular · Growth is a passively managed fund that tracks a specific market index, aiming to replicate its returns with minimal tracking error. Index funds offer low-cost, diversified exposure to the market with full transparency of holdings.

About This Fund

Nippon India Nifty 500 Low Volatility 50 Index Fund · Regular · Growth is a Index Fund mutual fund offered by Nippon India Mutual Fund. The fund has been operational for over 1 years. It manages assets worth ₹24.0 Cr, reflecting investor confidence in the fund's strategy. It benchmarks its performance against NIFTY 500 LOW VOLATILITY 50 TRI. The current expense ratio is 0.93%.

Who Should Invest?

  • Investors with a high risk appetite seeking long-term wealth creation
  • Investors with an investment horizon of 5 years or more
  • Cost-conscious investors who prefer passive investing with low expense ratios
  • SIP investors who can benefit from rupee cost averaging during market fluctuations
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