Nippon India Value Fund- Growth Plan

(Erstwhile Reliance Value Fund- Growth Plan)

Category: Equity: Value
Launch Date: 01-06-2005
Asset Class: Equity
Benchmark: NIFTY 500 TRI
Expense Ratio: 1.84% As on (30-12-2024)
Status: Open Ended Schemes
Minimum Investment: 500.0
Minimum Topup: 500.0
Total Assets: 8,563.55 Cr As on (31-12-2024)
Turn over: 54%
NAV as on 14-01-2025

212.2322

2.44 (1.1515%)

CAGR Since Inception

16.85%

NIFTY 500 TRI 12.44%

PERFORMANCE of Nippon India Value Fund- Growth Plan

Scheme Performance (%)

Data as on - 14-01-2025

Yearly Performance (%)

Fund Managers

Meenakshi Dawar, Dhrumil Shah

Investment Objective

The scheme aims to generate consistent returns by actively investing in equity or equity related securities. It will invest atleast 80 per cent of its assets in equity and equity related securities. Upto 20 per cent of its assets will be invested in debt and money market instruments with an average maturity of 5 to10 years.

NAV & Lumpsum details( Invested amount 1,00,000)

Show All Monthly Lumpsum Returns
NAV Date NAV Units Market
Value
Returns
(%)
08-06-2005 10.0 10000.0 100000 0.0 %
08-07-2005 10.0336 - 100336 0.34 %
08-08-2005 10.0333 - 100333 0.33 %
08-09-2005 10.0403 - 100403 0.4 %
10-10-2005 10.0472 - 100472 0.47 %
08-11-2005 10.0433 - 100433 0.43 %
08-12-2005 10.0354 - 100354 0.35 %
09-01-2006 10.0319 - 100319 0.32 %
08-02-2006 10.2558 - 102558 2.56 %
08-03-2006 10.7178 - 107178 7.18 %
10-04-2006 12.1148 - 121148 21.15 %
08-05-2006 13.5586 - 135586 35.59 %
08-06-2006 9.9725 - 99725 -0.27 %
10-07-2006 11.2919 - 112919 12.92 %
08-08-2006 11.7699 - 117699 17.7 %
08-09-2006 13.7993 - 137993 37.99 %
09-10-2006 14.4702 - 144702 44.7 %
08-11-2006 15.171 - 151710 51.71 %
08-12-2006 15.5759 - 155759 55.76 %
08-01-2007 15.8482 - 158482 58.48 %
08-02-2007 16.2797 - 162797 62.8 %
08-03-2007 14.1519 - 141519 41.52 %
09-04-2007 14.4323 - 144323 44.32 %
08-05-2007 15.4394 - 154394 54.39 %
08-06-2007 16.5299 - 165299 65.3 %
09-07-2007 17.8354 - 178354 78.35 %
08-08-2007 17.8379 - 178379 78.38 %
10-09-2007 18.1173 - 181173 81.17 %
08-10-2007 19.7559 - 197559 97.56 %
08-11-2007 22.4011 - 224011 124.01 %
10-12-2007 25.4443 - 254443 154.44 %
08-01-2008 30.5047 - 305047 205.05 %
08-02-2008 25.7344 - 257344 157.34 %
10-03-2008 22.9432 - 229432 129.43 %
08-04-2008 21.4769 - 214769 114.77 %
08-05-2008 23.4379 - 234379 134.38 %
09-06-2008 20.503 - 205030 105.03 %
08-07-2008 18.5073 - 185073 85.07 %
08-08-2008 20.599 - 205990 105.99 %
08-09-2008 20.7079 - 207079 107.08 %
08-10-2008 15.481 - 154810 54.81 %
10-11-2008 14.4115 - 144115 44.12 %
08-12-2008 12.4558 - 124558 24.56 %
09-01-2009 13.2707 - 132707 32.71 %
09-02-2009 12.8951 - 128951 28.95 %
09-03-2009 11.343 - 113430 13.43 %
08-04-2009 14.6444 - 146444 46.44 %
08-05-2009 16.1661 - 161661 61.66 %
08-06-2009 21.2634 - 212634 112.63 %
08-07-2009 20.6864 - 206864 106.86 %
10-08-2009 22.4088 - 224088 124.09 %
08-09-2009 24.4812 - 244812 144.81 %
08-10-2009 25.686 - 256860 156.86 %
09-11-2009 25.9347 - 259347 159.35 %
08-12-2009 27.4456 - 274456 174.46 %
08-01-2010 28.733 - 287330 187.33 %
08-02-2010 26.9112 - 269112 169.11 %
08-03-2010 28.4755 - 284755 184.75 %
08-04-2010 29.2137 - 292137 192.14 %
10-05-2010 28.7286 - 287286 187.29 %
08-06-2010 27.8182 - 278182 178.18 %
08-07-2010 29.8425 - 298425 198.43 %
09-08-2010 31.1751 - 311751 211.75 %
08-09-2010 32.6038 - 326038 226.04 %
08-10-2010 34.3031 - 343031 243.03 %
08-11-2010 35.3392 - 353392 253.39 %
08-12-2010 32.3298 - 323298 223.3 %
10-01-2011 31.4087 - 314087 214.09 %
08-02-2011 28.9616 - 289616 189.62 %
08-03-2011 28.8015 - 288015 188.01 %
08-04-2011 30.9398 - 309398 209.4 %
09-05-2011 29.9453 - 299453 199.45 %
08-06-2011 29.9872 - 299872 199.87 %
08-07-2011 30.5604 - 305604 205.6 %
08-08-2011 28.4904 - 284904 184.9 %
08-09-2011 27.7839 - 277839 177.84 %
10-10-2011 26.1998 - 261998 162.0 %
08-11-2011 27.4061 - 274061 174.06 %
08-12-2011 25.4911 - 254911 154.91 %
09-01-2012 23.8974 - 238974 138.97 %
08-02-2012 27.6772 - 276772 176.77 %
09-03-2012 27.6968 - 276968 176.97 %
09-04-2012 27.9349 - 279349 179.35 %
08-05-2012 26.5972 - 265972 165.97 %
08-06-2012 26.6365 - 266365 166.37 %
09-07-2012 28.0606 - 280606 180.61 %
08-08-2012 28.3289 - 283289 183.29 %
10-09-2012 28.685 - 286850 186.85 %
08-10-2012 31.7017 - 317017 217.02 %
08-11-2012 32.2256 - 322256 222.26 %
10-12-2012 34.0611 - 340611 240.61 %
08-01-2013 34.5073 - 345073 245.07 %
08-02-2013 32.4773 - 324773 224.77 %
08-03-2013 31.5437 - 315437 215.44 %
08-04-2013 29.4889 - 294889 194.89 %
08-05-2013 31.65 - 316500 216.5 %
10-06-2013 30.8202 - 308202 208.2 %
08-07-2013 29.9355 - 299355 199.35 %
08-08-2013 27.5595 - 275595 175.59 %
10-09-2013 28.0987 - 280987 180.99 %
08-10-2013 29.3424 - 293424 193.42 %
08-11-2013 30.7583 - 307583 207.58 %
09-12-2013 31.8964 - 318964 218.96 %
08-01-2014 32.8286 - 328286 228.29 %
10-02-2014 31.5985 - 315985 215.99 %
10-03-2014 33.2174 - 332174 232.17 %
09-04-2014 35.0288 - 350288 250.29 %
08-05-2014 35.3067 - 353067 253.07 %
09-06-2014 43.2544 - 432544 332.54 %
08-07-2014 43.5554 - 435554 335.55 %
08-08-2014 42.4373 - 424373 324.37 %
08-09-2014 46.6365 - 466365 366.37 %
08-10-2014 44.6664 - 446664 346.66 %
10-11-2014 48.6812 - 486812 386.81 %
08-12-2014 51.1491 - 511491 411.49 %
08-01-2015 51.1724 - 511724 411.72 %
09-02-2015 51.2898 - 512898 412.9 %
09-03-2015 53.8138 - 538138 438.14 %
08-04-2015 53.9778 - 539778 439.78 %
08-05-2015 50.322 - 503220 403.22 %
08-06-2015 50.3249 - 503249 403.25 %
08-07-2015 53.5502 - 535502 435.5 %
10-08-2015 57.6368 - 576368 476.37 %
08-09-2015 50.8854 - 508854 408.85 %
08-10-2015 53.4955 - 534955 434.95 %
09-11-2015 53.4246 - 534246 434.25 %
08-12-2015 53.0219 - 530219 430.22 %
08-01-2016 52.6855 - 526855 426.86 %
08-02-2016 48.0423 - 480423 380.42 %
08-03-2016 46.6979 - 466979 366.98 %
08-04-2016 48.5221 - 485221 385.22 %
09-05-2016 49.6725 - 496725 396.73 %
08-06-2016 51.6766 - 516766 416.77 %
08-07-2016 53.8874 - 538874 438.87 %
08-08-2016 58.013 - 580130 480.13 %
08-09-2016 60.0523 - 600523 500.52 %
10-10-2016 58.7458 - 587458 487.46 %
08-11-2016 56.8944 - 568944 468.94 %
08-12-2016 54.4382 - 544382 444.38 %
09-01-2017 54.3161 - 543161 443.16 %
08-02-2017 57.9373 - 579373 479.37 %
08-03-2017 59.0088 - 590088 490.09 %
10-04-2017 62.7595 - 627595 527.6 %
08-05-2017 64.7605 - 647605 547.61 %
08-06-2017 65.3532 - 653532 553.53 %
10-07-2017 66.1128 - 661128 561.13 %
08-08-2017 66.9965 - 669965 569.97 %
08-09-2017 67.4951 - 674951 574.95 %
09-10-2017 69.7223 - 697223 597.22 %
08-11-2017 72.6651 - 726651 626.65 %
08-12-2017 74.0088 - 740088 640.09 %
08-01-2018 79.3986 - 793986 693.99 %
08-02-2018 74.4788 - 744788 644.79 %
08-03-2018 71.7228 - 717228 617.23 %
09-04-2018 72.9131 - 729131 629.13 %
08-05-2018 74.8265 - 748265 648.26 %
08-06-2018 72.5325 - 725325 625.33 %
09-07-2018 71.3615 - 713615 613.62 %
08-08-2018 74.3106 - 743106 643.11 %
10-09-2018 74.1992 - 741992 641.99 %
08-10-2018 64.5436 - 645436 545.44 %
09-11-2018 69.4853 - 694853 594.85 %
10-12-2018 67.7221 - 677221 577.22 %
08-01-2019 70.7245 - 707245 607.25 %
08-02-2019 67.891 - 678910 578.91 %
08-03-2019 70.7245 - 707245 607.25 %
08-04-2019 73.9145 - 739145 639.14 %
08-05-2019 71.6582 - 716582 616.58 %
10-06-2019 75.3352 - 753352 653.35 %
08-07-2019 73.0304 - 730304 630.3 %
08-08-2019 68.6742 - 686742 586.74 %
09-09-2019 68.7498 - 687498 587.5 %
09-10-2019 71.194 - 711940 611.94 %
08-11-2019 73.8736 - 738736 638.74 %
09-12-2019 73.4012 - 734012 634.01 %
08-01-2020 74.3638 - 743638 643.64 %
10-02-2020 76.2241 - 762241 662.24 %
09-03-2020 66.9577 - 669577 569.58 %
08-04-2020 54.3216 - 543216 443.22 %
08-05-2020 56.7448 - 567448 467.45 %
08-06-2020 62.7588 - 627588 527.59 %
08-07-2020 65.7898 - 657898 557.9 %
10-08-2020 70.7978 - 707978 607.98 %
08-09-2020 71.3012 - 713012 613.01 %
08-10-2020 73.1944 - 731944 631.94 %
09-11-2020 77.1038 - 771038 671.04 %
08-12-2020 84.0506 - 840506 740.51 %
08-01-2021 91.5907 - 915907 815.91 %
08-02-2021 96.5083 - 965083 865.08 %
08-03-2021 98.488 - 984880 884.88 %
08-04-2021 97.4228 - 974228 874.23 %
10-05-2021 100.0029 - 1000029 900.03 %
08-06-2021 107.9362 - 1079362 979.36 %
08-07-2021 109.6455 - 1096455 996.45 %
09-08-2021 114.436 - 1144360 1044.36 %
08-09-2021 119.1816 - 1191816 1091.82 %
08-10-2021 125.3299 - 1253299 1153.3 %
08-11-2021 127.6427 - 1276427 1176.43 %
08-12-2021 121.9468 - 1219468 1119.47 %
10-01-2022 125.8648 - 1258648 1158.65 %
08-02-2022 122.6709 - 1226709 1126.71 %
08-03-2022 113.1672 - 1131672 1031.67 %
08-04-2022 126.5704 - 1265704 1165.7 %
09-05-2022 114.1682 - 1141682 1041.68 %
08-06-2022 113.6374 - 1136374 1036.37 %
08-07-2022 114.1329 - 1141329 1041.33 %
08-08-2022 121.9106 - 1219106 1119.11 %
08-09-2022 127.9195 - 1279195 1179.19 %
10-10-2022 124.5549 - 1245549 1145.55 %
09-11-2022 128.5653 - 1285653 1185.65 %
08-12-2022 131.7784 - 1317784 1217.78 %
09-01-2023 128.0905 - 1280905 1180.9 %
08-02-2023 124.8302 - 1248302 1148.3 %
08-03-2023 124.5842 - 1245842 1145.84 %
10-04-2023 123.2817 - 1232817 1132.82 %
08-05-2023 128.632 - 1286320 1186.32 %
08-06-2023 134.6206 - 1346206 1246.21 %
10-07-2023 141.5448 - 1415448 1315.45 %
08-08-2023 146.8601 - 1468601 1368.6 %
08-09-2023 153.7316 - 1537316 1437.32 %
09-10-2023 150.8011 - 1508011 1408.01 %
08-11-2023 154.5397 - 1545397 1445.4 %
08-12-2023 171.2541 - 1712541 1612.54 %
08-01-2024 182.2886 - 1822886 1722.89 %
08-02-2024 192.3703 - 1923703 1823.7 %
11-03-2024 191.0994 - 1910994 1810.99 %
08-04-2024 196.9409 - 1969409 1869.41 %
08-05-2024 197.9565 - 1979565 1879.56 %
10-06-2024 208.9421 - 2089421 1989.42 %
08-07-2024 221.1238 - 2211238 2111.24 %
08-08-2024 218.6577 - 2186577 2086.58 %
09-09-2024 228.5941 - 2285941 2185.94 %
08-10-2024 229.882 - 2298820 2198.82 %
08-11-2024 224.0019 - 2240019 2140.02 %
09-12-2024 230.6397 - 2306397 2206.4 %
08-01-2025 220.0421 - 2200421 2100.42 %
14-01-2025 212.2322 - 2122322 2022.32 %

RETURNS CALCULATOR for Nippon India Value Fund- Growth Plan

Growth of 10000 In SIP (Fund vs Benchmark)

Amount :
Period :
Start :
End :

Growth of 10000 In LUMPSUM (Fund vs Benchmark)

Amount :
Start :

Rolling Returns

Rolling returns are the annualized returns of the scheme taken for a specified period (rolling returns period) on every day/week/month and taken till the last day of the duration. In this chart we are showing the annualized returns over the rolling returns period on every day from the start date and comparing it with the benchmark. Rolling returns is the best measure of a fund's performance. Trailing returns have a recency bias and point to point returns are specific to the period in consideration. Rolling returns, on the other hand, measures the fund's absolute and relative performance across all timescales, without bias.

Riskometer

riskometer

Key Performance and Risk Statistics of Nippon India Value Fund- Growth Plan

Key Statistics Volatility Sharpe Ratio Alpha Beta Yield to Maturity Average Maturity
Nippon India Value Fund- Growth Plan 13.77 1.01 5.98 1.01 - -
Equity: Value - - - - - -

PEER COMPARISION of Nippon India Value Fund- Growth Plan

Amount :
Start :
End :
Period
Data as on - 14-01-2025
Scheme Name Launch
Date
1-Year
Ret (%)
2-Yrs
Ret (%)
3-Yrs
Ret (%)
5-Yrs
Ret (%)
10-Yrs
Ret (%)
Nippon India Value Fund- Growth Plan 01-06-2005 14.65 29.0 18.25 22.67 15.24
Axis Value Fund - Regular Plan - Growth 19-09-2021 20.85 30.19 18.31 0.0 0.0
LIC MF Value Fund-Regular Plan-Growth 13-08-2018 19.4 22.92 14.17 18.28 0.0
UTI Value Fund - Regular Plan - Growth Option 20-07-2005 18.32 22.86 14.5 18.94 12.57
Quantum Long Term Equity Value Fund - Regular Plan Growth Option 05-04-2017 16.63 22.51 15.29 17.21 0.0
HSBC Value Fund - Regular Growth 20-01-2013 15.6 28.56 17.98 22.1 15.88
DSP Value Fund - Regular Plan - Growth 02-12-2020 14.77 22.62 13.47 0.0 0.0
Quant Value Fund - Growth Option - Regular Plan 27-11-2021 14.74 27.5 21.08 0.0 0.0
ICICI Prudential Value Discovery Fund - Growth 05-08-2004 14.74 23.88 18.88 24.23 14.65
HDFC Capital Builder Value Fund - Growth Plan 01-02-1994 13.61 22.54 14.19 18.58 13.21

PORTFOLIO ANALYSIS of Nippon India Value Fund- Growth Plan

Asset Allocation (%)

Allocation Percentage (%)

Market Cap Distribution

Small Cap

21.58%

Others

4.02%

Large Cap

52.49%

Mid Cap

21.91%

Total

100%