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Conservative Risk Analyzer

Equity Asset Class - 15%
Fixed Income Asset Class - 75%
Gold Asset Class - 10%
For a conservative investor like you, you may allocate your portfolio in such a way that majority i.e 75% is in Fixed Income (debt) while 15% in equity and a standard allocation of 10% in gold.
Now that you know the broader asset allocation across asset classes, you may conside the below indicative asset allocations across our various schemes.

Fixed Income Asset Class

Nippon India Credit Risk Fund 45%

Credit Risk Fund

Equity Asset Class

Nippon India Vision Fund 15%

Large & Mid Cap Fund

Gold Asset Class

Nippon India Gold Savings Fund 10%

Gold Savings Fund

Fixed Income Asset Class

Nippon India Dynamic Bond Fund 30%

Dynamic Bond

Please note that the above Asset Allocation is indicative. Please Click here to invest as per your choice.

NOTE: Readers are advised to seek independent professionals advice and arrive at an informed investment decision before making any investments

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