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Scheme Information
Nippon India Consrv Hyb Gr
as of 05 Sep 2026, 21:24 PM
SIP Calculator
Invested Amount
₹6,00,000
Est. Return
₹5,61,695
Total Value
₹11,61,695
Scheme Ratings
rated by Value Research
Scheme Riskometer
Your principal will be at High Risk
Investment Returns
Absolute Returns
CAGR
Company Holdings
Company Name | Sector | Instrument | Assets |
|---|---|---|---|
| 7.03% Tamilnadu SDL 2030 | - | BT | 5.11% |
| Triumph Composites Private Limited | - | B | 4.09% |
| Adani Airport Holdings Limited | - | B | 4.05% |
| Delhi International Airport Limited | - | B | 3.75% |
| Aditya Birla Real Estate Limited | - | B | 3.58% |
| GMR Airports Limited | - | B | 3.43% |
| GAursons India Private Limited | - | B | 3.35% |
| Auxilo Finserve Private Limited | - | B | 3.06% |
| Muthoot Fincorp Limited | - | B | 3.05% |
| Navi Finserv Limited | - | B | 3.04% |
| Jsw Jfe Kalinga Steel Limited | - | B | 2.64% |
| Suryapet Khammam Road Limited | - | B | 2.57% |
| TRuhome Finance Limited | - | B | 2.57% |
| Vedanta Aluminium Metal Limited | - | B | 2.57% |
| Small Industries Development Bank Of India | - | B | 2.56% |
| Hiranandani Financial Services Private Limited | - | B | 2.55% |
| Adani Power Limited | - | B | 2.54% |
| Mindspace Business Parks Reit | - | B | 2.53% |
| 6.57% Tamilnadu SDL 2031 | - | BT | 2.50% |
| Mancherial Repallewada Road Limited | - | B | 2.44% |
| Jtpm Metal TRaders Limited | - | B | 2.20% |
| Bamboo Hotel And Global Centre (Delhi) Private Limited | - | B | 1.74% |
| Brookfield India Real Estate Trust | Real Estate | ER | 1.55% |
| Adani TRansmission Step-Two Limited | - | B | 1.52% |
| Vastu Finserve India Private Limited | - | B | 1.49% |
| Mindspace Business Parks REIT Unit | Real Estate | ER | 1.43% |
| Cube Highways Trust | Industrials | E | 1.29% |
| Nexus Select Trust Reits | Real Estate | ER | 1.20% |
| Knowledge Realty Trust Units | Real Estate | ER | 1.18% |
| Andhra Pradesh State Beverages Corporation Limited | - | B | 1.03% |
| 6.54% Govt Stock 2032 | - | BT | 1.02% |
| Arka Fincap Limited | - | B | 1.02% |
| Adani Power Limited | - | B | 1.02% |
| Veritas Finance Limited | - | B | 1.00% |
| HDFC Bank Ltd | Financial Services | E | 0.87% |
| Reliance Industries Ltd | Energy | E | 0.83% |
| ICICI Bank Ltd | Financial Services | E | 0.80% |
| AU Small Finance Bank Ltd | Financial Services | E | 0.71% |
| Raajmarg Infra Investment Trust | - | EX | 0.67% |
| Niwas Housing Finance Private Limited | - | B | 0.61% |
| Bharti Airtel Ltd | Communication Services | E | 0.53% |
| 7.15% Rajasthan Sdl 2031 | - | BT | 0.51% |
| State Bank of India | Financial Services | E | 0.46% |
| Larsen & Toubro Ltd | Industrials | E | 0.42% |
| Vedanta Limited | - | B | 0.41% |
| Infosys Ltd | Technology | E | 0.40% |
| Mahindra & Mahindra Ltd | Consumer Cyclical | E | 0.36% |
| Maruti Suzuki India Ltd | Consumer Cyclical | E | 0.34% |
| Bajaj Finance Ltd | Financial Services | E | 0.32% |
| Axis Bank Ltd | Financial Services | E | 0.32% |
| Telangana State Industrial Infrastructure Corporation Limited | - | B | 0.32% |
| ITC Ltd | Consumer Defensive | E | 0.30% |
| Tata Consultancy Services Ltd | Technology | E | 0.29% |
| Corporate Debt Market Development Fund Class A2 | - | EX | 0.29% |
| APtus Finance India Private Limited | - | B | 0.25% |
| Kotak Mahindra Bank Ltd | Financial Services | E | 0.24% |
| Titan Co Ltd | Consumer Cyclical | E | 0.23% |
| Sun Pharmaceuticals Industries Ltd | Healthcare | E | 0.23% |
| Bajaj Auto Ltd | Consumer Cyclical | E | 0.23% |
| Muthoot Mcred Limited | - | B | 0.21% |
| Hindustan Unilever Ltd | Consumer Defensive | E | 0.21% |
| Niwas Housing Finance Private Limited | - | B | 0.20% |
| JSW Energy Ltd | Utilities | E | 0.20% |
| IndusInd Bank Ltd | Financial Services | E | 0.19% |
| NTPC Ltd | Utilities | E | 0.18% |
| Hero MotoCorp Ltd | Consumer Cyclical | E | 0.17% |
| Hindalco Industries Ltd | Basic Materials | E | 0.17% |
| Tata Steel Ltd | Basic Materials | E | 0.16% |
| HCL Technologies Ltd | Technology | E | 0.16% |
| UltraTech Cement Ltd | Basic Materials | E | 0.15% |
| Grasim Industries Ltd | Basic Materials | E | 0.14% |
| JSW Steel Ltd | Basic Materials | E | 0.14% |
| Asian Paints Ltd | Basic Materials | E | 0.14% |
| Bajaj Finserv Ltd | Financial Services | E | 0.13% |
| Power Grid Corp Of India Ltd | Utilities | E | 0.13% |
| Eicher Motors Ltd | Consumer Cyclical | E | 0.12% |
| Divi's Laboratories Ltd | Healthcare | E | 0.12% |
| Nestle India Ltd | Consumer Defensive | E | 0.12% |
| Oil & Natural Gas Corp Ltd | Energy | E | 0.10% |
| Eris Lifesciences Limited | - | B | 0.10% |
| Apollo Hospitals Enterprise Ltd | Healthcare | E | 0.10% |
| Coal India Ltd | Energy | E | 0.09% |
| Tata Motors Ltd | Consumer Cyclical | E | 0.09% |
| SBI Life Insurance Co Ltd | Financial Services | E | 0.09% |
| Cipla Ltd | Healthcare | E | 0.09% |
| Dr Reddy's Laboratories Ltd | Healthcare | E | 0.08% |
| Tata Consumer Products Ltd | Consumer Defensive | E | 0.07% |
| Britannia Industries Ltd | Consumer Defensive | E | 0.07% |
| Tata Motors Passenger Vehicles Ltd | Consumer Cyclical | E | 0.07% |
| Wipro Ltd | Technology | E | 0.06% |
| HDFC Life Insurance Co Ltd | Financial Services | E | 0.06% |
| ITC Hotels Ltd | Consumer Cyclical | E | 0.01268% |
| Trust Investment Advisors Private Limited | - | CP | 2.02% |
| Net Current Assets | - | C | 1.50% |
| Triparty Repo | - | CR | 0.72% |
| Cash Margin - Ccil | - | CR | 0.00867% |
| Cash | - | C | 0% |
Sector Holding Analysis
Equity / Debt / Cash Split
Equity
18.17%
Debt
76.44%
Cash
4.44%
Others
0.95%
Equity sector allocation
Basic Materials
0.89%
Communication Services
0.53%
Consumer Cyclical
1.64%
Consumer Defensive
0.77%
Energy
1.03%
Financial Services
4.19%
Healthcare
0.62%
Industrials
1.72%
Real Estate
5.35%
Technology
0.91%
Utilities
0.51%
Others
81.84%
Fund House Contact Details
Asset Management Company
Funds in this Category

Quant Multi Asset Allocation IDCW-P
Allocation
Min. Investment
₹5000
Category Returns
17.72%
22.94%
3Y Returns
+22.94%

Quant Multi Asset Allocation IDCW-R
Allocation
Min. Investment
₹5000
Category Returns
17.72%
22.94%
3Y Returns
+22.94%

ICICI Pru Ret Pure Eq Plan Reg IDCW-P
Allocation
Min. Investment
₹5000
Category Returns
17.72%
22.94%
3Y Returns
+21.76%
About Nippon India Consrv Hyb Gr
Investment Objective of the Scheme
Key Features of The Fund
5-year return
+7.57%
Fund Manager
Dhrumil Shah
Risk Profile
High Risk
Expense Ratio
1.79%
Fund Size
₹976.82 Cr
Nippon India Consrv Hyb Gr Summary
Nippon India Consrv Hyb Gr NAV, Returns, Performance & Details
Nippon India Consrv Hyb Gr is currently priced at ₹62.24, as of 05 Sep 2026, 21:24 PM. The fund has recorded a change of ₹0.09 (0.15%), indicating its recent movement in the market.
Tracking NAV trends helps investors understand short-term price movement, while long-term performance gives a better picture of wealth creation potential.
Nippon India Consrv Hyb Gr Fund Details and Key Information
Nippon India Consrv Hyb Gr is an open-ended mutual fund that invests based on its stated objective and benchmark.
Key details:
Asset Size: ₹976.82 Cr
Expense Ratio: 1.79%
Cash Holding: 4.44%
Plan Type: Dividend
Benchmark: CRISIL Hybrid 85+15 - ConservativeTR INR
Launch Date: 2003-12-29
Exit Load: 1.00
These factors help investors evaluate cost, scale, and fund positioning before making an investment decision.
Nippon India Consrv Hyb Gr Returns and Performance
Nippon India Consrv Hyb Gr has delivered returns across multiple timeframes, reflecting its ability to perform across different market conditions.
Returns:
1 Month: 0.08%
3 Months: 2.74%
6 Months: 2.75%
1 Year: 6.89%
3 Years: 0.26%
5 Years: 0.44%
Short-term returns indicate recent momentum, while long-term returns show consistency and wealth creation ability.
Nippon India Consrv Hyb Gr Risk Level and Volatility
Understanding risk is important before investing. Nippon India Consrv Hyb Gr falls under: For investors in the 20–40 age group, selecting a fund with the right risk level is important based on financial goals, investment horizon, and comfort with market movements.
Risk Level: High Risk
The riskometer helps investors understand how stable or volatile the fund can be based on its investment strategy and asset allocation. Funds with higher risk levels may offer better return potential over time, but they can also experience sharper short-term fluctuations. This classification reflects the volatility associated with the fund. Higher risk funds may offer higher returns but come with greater fluctuations.
Nippon India Consrv Hyb Gr Portfolio Allocation
The asset allocation of Nippon India Consrv Hyb Gr shows how investments are distributed across asset classes.
Equity Allocation: 18.17%
Cash Allocation: 4.44%
This allocation plays a key role in determining the fund’s risk and return profile.
Nippon India Consrv Hyb Gr Sector Allocation
Nippon India Consrv Hyb Gr diversifies its investments across sectors to reduce risk.
Sector Holding Detail
Basic Materials: 0.89%
Communication Services: 0.53%
Consumer Cyclical: 1.64%
Consumer Defensive: 0.77%
Energy: 1.03%
Financial Services: 4.19%
Healthcare: 0.62%
Industrials: 1.72%
Real Estate: 5.35%
Technology: 0.91%
Utilities: 0.51%
Sector allocation data helps investors understand which industries the fund is focusing on.
Nippon India Consrv Hyb Gr Fund House
Nippon India Consrv Hyb Gr is managed by:
AMC Name: Nippon Life India Asset Management Ltd
A strong fund house with a proven track record can improve investor confidence.
Nippon India Consrv Hyb Gr Minimum Investment
Investors can start investing in Nippon India Consrv Hyb Gr with:
Minimum Investment: ₹5,000
This makes the fund accessible for both beginners and experienced investors.
FAQ's
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In which sectors has Nippon India Consrv Hyb Gr invested in?
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