FUND PROFILE


Incorporated on
 Feb 24 , 1995


Total assets under management ()( Cr)
 486,805.05(Jun 30 , 2024)


Type
 Indian Private


Address:
 4th Floor, Tower A, Peninsula Busines-s Park, Ganapatrao Kadam MargLower Parel (W), Mumbai - 400013.


Tel No.
 022-68087000/1860260111


Fax:
 022-68087097


E-mail:


Website


Registrar
NA


Scheme Name Category Asset Size () (Cr.) Asset Date NAV () NAV Date Fund Manager
CPSE ETF Index 42632.15 30-Jun-2024 101.94 26-Jul-2024 Himanshu Mange
Nippon India Arbitrage... Equity - Diversified 15072.15 30-Jun-2024 26.84 26-Jul-2024 Anand Devendra Gupta
Nippon India Arbitrage... Equity - Diversified 15072.15 30-Jun-2024 16.53 26-Jul-2024 Anand Devendra Gupta
Nippon India Arbitrage... Equity - Diversified 15072.15 30-Jun-2024 14.05 26-Jul-2024 Anand Devendra Gupta
Nippon India Arbitrage... Equity - Diversified 15072.15 30-Jun-2024 25.00 26-Jul-2024 Anand Devendra Gupta
Nippon India Arbitrage... Equity - Diversified 15072.15 30-Jun-2024 14.98 26-Jul-2024 Anand Devendra Gupta
Nippon India Arbitrage... Equity - Diversified 15072.15 30-Jun-2024 13.03 26-Jul-2024 Anand Devendra Gupta
Nippon India Asset All... Fund of Funds 234.87 30-Jun-2024 20.22 26-Jul-2024 Sushil Budhia
Nippon India Asset All... Fund of Funds 234.87 30-Jun-2024 20.22 26-Jul-2024 Sushil Budhia
Nippon India Asset All... Fund of Funds 234.87 30-Jun-2024 19.52 26-Jul-2024 Sushil Budhia