Nippon India Quant Fund Retail Direct-Growth - Latest Nav
Quant Liquid Direct Plan Growth Latest NAV, Returns, Performance 2020
Nippon India Quant Fund Retail Direct-Growth - Latest Nav. The nav of nippon india quant fund retail direct growth is ₹40.22 as of 03 jun 2022. What is the pe and pb ratio of nippon india quant fund retail direct bonus?
Quant Liquid Direct Plan Growth Latest NAV, Returns, Performance 2020
Whereas, category returns for the same time duration are: The pe ratio ratio of nippon india quant fund retail direct growth is determined by dividing the market price by its earnings per share and the pb ratio of the same is evaluated by dividing the stock price. Minimum investment required is rs. 3.75% (1yr), 12.81% (3yr), 10.04% (5yr) and 9.67% (since launch). Invest in nippon india quant fund online with groww. The nippon india liquid fund direct growth has been there from 31 dec 2012 and the average annual returns provided by this fund is 3.61% since its inception. Its trailing returns over different time periods are: Performance of nippon india growth fund as on 31/05/2022. How much expense ratio is charged by nippon india liquid fund direct growth? Nippon india large cap fund.
The fund has an expense ratio of 1.02%, which is higher than what most other thematic funds charge. Its trailing returns over different time periods are: Ad rich options pricing data and highest quality analytics for institutional use. Invest in nippon india quant fund online with groww. Change since last nav change since last nav (%) direct growth plan bonus option 37.3981: What is the pe and pb ratio of nippon india quant fund retail direct bonus? The nav of nippon india quant fund retail direct growth is ₹40.22 as of 03 jun 2022. How much expense ratio is charged by nippon india liquid fund direct growth? Track scheme performance, aum, historical returns, fund ratings, minimum sip amount, fund manager etc. Since launch, it has delivered 9.72% average. The nippon india liquid fund direct growth has been there from 31 dec 2012 and the average annual returns provided by this fund is 3.61% since its inception.