Nippon India Multi Asset Allocation Fund - Direct Plan - Growth Option
Nippon India
Multi Asset Allocation
Current NAV
27.43
Alpha vs Category
1Y Alpha
+4.4%
vs cat avg 13.9%
3Y Alpha
+3.0%
vs cat avg 17.0%
5Y Alpha
+1.6%
vs cat avg 15.0%
Returns
1Y Return
+18.3%
Category 13.9%
3Y Return
+20.1%
Category 17.0%
5Y Return
+16.6%
Category 15.0%
NAV History (1 Year)
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Data updated: 21 Aug 2026 · NAV and returns refresh daily from official sources.