Nippon India Credit Risk Fund Segregated Portfolio 1 Direct Growth
Scheme code: INF204KB12L0
NAV value:
₹ 0.5342
NAV date: 27 January, 2022
Fund option: Direct
Fund type: Growth
Asset class: Debt
Asset category: Credit Risk Fund
Rolling returns
Summary
Duration | Min | Max | Average XIRR (%) | Category average XIRR (%) |
---|---|---|---|---|
1 year | -21.60 | 340.03 | -5.88 | 8 |
Rolling return for 1 year
Average return: -5.88Min | Max | Min-Max | Max-Min | Standard Deviation | Mean | From | To |
---|---|---|---|---|---|---|---|
10.71 | 231.6 | 340.03 | -16.57 | 149.69 | 141.44 | 01-2021 | 01-2022 |
-16.23 | -16.11 | -15.53 | -16.8 | 0.45 | -16.17 | 12-2020 | 12-2021 |
-16.4 | -16.24 | -15.71 | -16.93 | 0.44 | -16.32 | 11-2020 | 11-2021 |
-16.53 | -16.41 | -15.83 | -17.11 | 0.45 | -16.47 | 10-2020 | 10-2021 |
-16.91 | -19.8 | -16.21 | -20.48 | 1.82 | -18.35 | 09-2020 | 09-2021 |
-20.38 | -20.18 | -19.64 | -20.92 | 0.46 | -20.28 | 08-2020 | 08-2021 |
-20.49 | -20.4 | -19.8 | -21.08 | 0.45 | -20.44 | 07-2020 | 07-2021 |
-20.58 | -20.44 | -19.89 | -21.12 | 0.44 | -20.51 | 06-2020 | 06-2021 |
-20.72 | -20.59 | -20.09 | -21.22 | 0.4 | -20.66 | 05-2020 | 05-2021 |
-20.77 | -20.69 | -20.13 | -21.32 | 0.42 | -20.73 | 04-2020 | 04-2021 |
-20.99 | -20.84 | -20.28 | -21.55 | 0.45 | -20.92 | 03-2020 | 03-2021 |
-21.4 | -20.95 | -20.75 | -21.6 | 0.34 | -21.17 | 02-2020 | 02-2021 |