Nippon India Hybrid Bond Fund Growth

Nippon India Hybrid Bond Fund Growth

Get the latest NAV of Nippon India Hybrid Bond Fund Growth. View historical returns compared to its benchmark and category average. Know which stocks and sectors the fund is investing in. Get an estimate of returns from the SIP and lump sum returns calculator. View detailed holding analysis and peer comparison. Get INDmoney ranking of the fund.

₹57.58

0.1%1D

NAV as on 20 Jun 2025

8.49%/per year

Since Inception

Absolute Gain%

Fund Performance

as on (20-Jun-25)

Period
This Fund
Conservative Allocation Index
1 Month
0.79%
0.15%
3 Months
3.75%
3.58%
6 Months
5.17%
3.6%
1 Year
8.59%
7.37%
3 Years
9.46%
10.67%
5 Years
9.12%
10.61%

Peer comparison

Fund Name
INDmoney Rank
AUM (in Crs.)
Expense Ratio
1Y Returns
3Y Returns
Inception Returns
Nippon India Hybrid Bond Fund Growth
-
886Cr
1.88%
8.59%
9.46%
8.49%
Parag Parikh Conservative Hybrid Fund Regular
1/10
2,665Cr
0.64%
9.29%
12.59%
10.53%
Aditya Birla Sun Life Reg Savings Fund Regular
3/10
1,385Cr
1.92%
9.1%
10.59%
9.41%
ICICI Prudential Regular Savings Fund
4/10
3,188Cr
1.72%
8.95%
11.29%
9.97%

Nippon India Hybrid Bond Fund Growth Returns Calculator

Calculate SIP and lumpsum returns based on historical performance

  • 1-time

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Total Investment

0

Profit


Total Corpus

0

Absolute Return

Nippon India Hybrid Bond Fund Growth Asset Allocation

See fund asset allocation details as on (14-Jun-25)

Fund Distribution

as on (14-Jun-25)

Equity 15.6%

Debt & Cash 84.1%

Large cap
11.6%

Mid cap
1%

Nippon India Hybrid Bond Fund Growth Sector Allocation

See fund sector allocation details as on (14-Jun-25)

Sector Allocation

Equity 15.6%

Debt & Cash 84.1%

Financial Services
27.6%
Industrial
13%
Tech
11.5%
Energy
8.6%
Consumer Cyclical
8.3%
Real Estate
8%
Consumer Defensive
6.5%
Basic Materials
5.9%
Health
4.3%
Communication
3.4%
Utilities
2.8%

Top 3 Sectors in May were Corporate, Financial Services & Government

May'25

Corporate

63%

Financial Services

33%

Government

21%

Apr'25

Corporate

66%

Financial Services

33%

Government

23%

Nippon India Hybrid Bond Fund Growth Holdings Details

as on (31-May-25)

Equity

Debt & Cash

Nippon India Hybrid Bond Fund Growth Overview

Get key fund statistics, minimum investment details, AUM, expense ratio, exit load, and tax treatment.

Expense ratio1.88%
Benchmark
CRISIL Hybrid 85+15 - ConservativeTR INR
AUM₹886 Cr
Inception Date29 December, 2003
Min Lumpsum/SIP₹5000/₹100
Exit Load
1.0%
Lock InNo Lock-in
TurnOver
66.73%
STCGSelling mutual fund within 36 months, gains taxed at slab rates.
LTCGHolding over 3 years, gains taxed at slab rates without indexation.
Risk
Risk meter
pointer
High Risk

About Nippon India Hybrid Bond Fund Growth

Nippon India Hybrid Bond Fund Growth is a hybrid fund. This fund was started on 29 December, 2003. The fund is managed by Dhrumil Shah, Kinjal Desai, Sushil Budhia. This fund gives you the benefit of diversification.

Key Parameters

  1. Nippon India Hybrid Bond Fund Growth has ₹886 Cr worth of assets under management (AUM) as on May 2025 and is more than category average.
  2. The fund has an expense ratio 1.9.

Returns

Nippon India Hybrid Bond Fund Growth has given a CAGR return of 8.49% since inception. Over the last 1, 3 and 5 years the fund has given a CAGR return of 8.59%, 9.46% and 9.12% respectively.

Holdings

Nippon India Hybrid Bond Fund Growth has allocated its funds majorly in Corporate, Financial Services, Government, Cash Equivalent, Real Estate, Industrial, Tech, Energy, Consumer Cyclical, Consumer Defensive, Basic Materials, Health, Communication, Utilities.

Taxation

As it is a conservative allocation mutual fund the taxation is as follows:
If the fund is equity oriented i.e. asset allocation of more than 65% in equity instruments:
For short term (less than a year) capital gains will be taxed at 20%
For long term (more than 1 year) capital gains will be taxed at 12.5% without indexation benefit
Long term gains up to Rs 1 lakh are exempt from taxation (more than 12 months).

Investment objective of Nippon India Hybrid Bond Fund Growth

The primary investment objective of the scheme is to generate regular income in order to make regular dividend payments to unitholders and the secondary objective is growth of capital.

Minimum Investment and lockin period

Minimum investment for lump sum payment is INR 5000.00 and for SIP is INR 100.00. Nippon India Hybrid Bond Fund Growth has no lock in period.

Fund Manager

Dhrumil Shah

Fund Manager of Nippon India Hybrid Bond Fund Growth, since 10 September 2021

Kinjal Desai

Fund Manager of Nippon India Hybrid Bond Fund Growth, since 29 December 2003

Sushil Budhia

Fund Manager of Nippon India Hybrid Bond Fund Growth, since 1 February 2020

Learn more about Nippon Mutual Fund
Parameters
May'25
Apr'25
Mar'25
AUM
₹ 840.5 Cr
₹ 840.5 Cr
₹ 834.6 Cr
  • AUM of the fund stands at 840.5 Cr as of May'25
  • AUM has remained same between May'25 and Apr'25

Frequently Asked Questions for Nippon India Hybrid Bond Fund Growth

How do I invest in Nippon India Hybrid Bond Fund Growth?

INDmoney makes it simple to invest in the Nippon India Hybrid Bond Fund Growth. To do so, follow the steps below:
  • Download the INDmoney app.
  • Search for ‘Nippon India Hybrid Bond Fund Growth’.
  • Select whether you want to invest in SIP or lump sum.
  • Enter the amount you wish to invest.
  • Set up payments via bank mandate or UPI.

What is the current NAV of Nippon India Hybrid Bond Fund Growth?

The NAV of the fund today is ₹57.58. NAV or Net Asset Value is the per unit price of a mutual fund. For example, if the NAV of a fund is ₹10, it means you can get 1000 units of that mutual fund at ₹10,000.

What is the return on the fund?

Nippon India Hybrid Bond Fund Growth fund has generated a return of 8.59% in 1 year, 9.46% in 3 years, 9.12% in 5 years.

Who is the fund manager of Nippon India Hybrid Bond Fund Growth?

The fund managers are Dhrumil Shah, Kinjal Desai, Sushil Budhia.

What is the exit load of the fund?

The exit load is 1% if redeemed in 0-12 Months. Exit load is a fee levied for ‘exiting’ the fund earlier than a stipulated period, usually 1 year.

What is the expense ratio of the fund?

The expense ratio is 1.88%. The Expense Ratio is a fee charged for managing the fund. This includes commissions, administrative costs etc.

What is the AUM of the fund?

The AUM of the fund is ₹886 Cr. AUM stands for Assets Under Management. It refers to the total assets managed by the fund.

What are the top holdings of Nippon India Hybrid Bond Fund Growth?

The top 3 holdings of the fund are 7.02% Govt Stock 2031(5.93%), National Bank For Agriculture And Rural Development(5.7%), Aditya Birla Real Estate Limited(4.09%)