This data is for educational purposes only and does not constitute investment advice. SEBI RIA registration in progress.
← Value Fund

Nippon India Value Fund - Direct Plan Growth Plan

Nippon India
Value Fund
Current NAV
248.63

Alpha vs Category

1Y Alpha
-5.8%
vs cat avg 5.2%
3Y Alpha
+1.9%
vs cat avg 15.2%
5Y Alpha
+1.0%
vs cat avg 14.7%

Returns

1Y Return
-0.6%
Category 5.2%
3Y Return
+17.1%
Category 15.2%
5Y Return
+15.6%
Category 14.7%

NAV History (1 Year)

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Data updated: 21 Aug 2026 · NAV and returns refresh daily from official sources.