CustomBreadcrumb Nippon India Monthly Interval Fund - Series I A Debt Oriented Interval Scheme. Relatively Low Interest rate Risk and relatively high Credit Risk Product Label and Risk Categories Product Label This product is suitable for investors who are seeking*: regular returns & growth of capital over the term of the fund, with the flexibility to enter / exit at fixed intervals • investment in fixed income securities, money market and G-sec instruments *Investors should consult their financial advisers if in doubt about whether the product is suitable for them Fund Riskometer Nippon India Monthly Interval Fund - Series I Benchmark Riskometer CRISIL Liquid Debt Index Invest now Add to Compare Fund Features Track Fund COMPARE FUND FEATURES(0) NA Fund PerformanceIDCW Option Latest NAV (13 Sep 2024)10.0403 Returns NAVs For the investment amount of 10,000 Scheme Plan NAV NAV Date Change Since Last NAV Change Since Last NAV (%) Direct IDCW Option 10.0002 16-06-2021 0.00 0.00 Direct Growth Plan Growth Option 32.2803 13-09-2024 0.00 0.01 Nippon India Monthly Interval Fund - Series I - Institutional Dividend Plan 10.0033 17-09-2019 0.00 0.00 Nippon India Monthly Interval Fund - Series I - Institutional Growth Plan 15.1635 18-09-2012 0.00 0.02 IDCW Option 10.0403 13-09-2024 0.00 0.01 Nippon India Monthly Interval Fund - Series I - Growth Plan Growth Option 31.9010 13-09-2024 0.00 0.02 OldFundDetails Read more Fund Details Inception Date15 Mar 2007 Fund ManagerMs. Kinjal Desai | Ms. Anju Chhajer Current Investment Philosophy NA Minimum Investment 1000.00 NA Fund Manager Ms. Kinjal Desai Others funds managed by Ms. Kinjal Desai Ms. Anju Chhajer Others funds managed by Ms. Anju Chhajer Load Details Product label This product is suitable for investors who are seeking*: regular returns & growth of capital over the term of the fund, with the flexibility to enter / exit at fixed intervals • investment in fixed income securities, money market and G-sec instruments *Investors should consult their financial advisers if in doubt about whether the product is suitable for them PRC Matrix Potential Risk Class Credit Risk Relatively Low (Class A) Moderate (Class B) Relatively High (Class C) Interest Rate Risk Relatively Low (Class I) C-I Moderate (Class II) Relatively High (Class III) (BROWN) Investors understand that their principal will be at high risk (YELLOW) Investors understand that their principal will be at medium risk (BLUE) Investors understand that their principal will be at low risk Portfolio Top Ten Holdings Sectoral Breakdown Select Select Top Ten Holdings Top 7 Groups Sectoral Breakdown Portfolio Disclosures as on