Nippon India Nifty 50 Index Fund
Nippon India Mutual Fund·Index Fund – Nifty 50·Very High Risk
NAV
₹28.84
28 Apr 2026
1Y Returns
+16.4%
AUM
₹14,842 Cr
Fund Manager: Mehul Dama
Standard Deviation
14.2%
Volatility of returns. Lower is more stable.
Beta
1
Sensitivity to market moves. <1 = less volatile than market.
Sharpe Ratio
1.22
Risk-adjusted return. Higher is better.
Alpha
0.02%
Excess return over benchmark. Higher is better.
Sortino Ratio
1.58
Return per unit of downside risk. Higher is better.
Max Drawdown
-16.8%
Worst peak-to-trough decline.