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Nippon India Income Plus Arbitrage Active Fund of Fund- Direct Plan- Growth Option

Nippon India · Scheme 153600

10.70 0.01%NAV · 2026-09-18
49
Average FundScore
Start SIP
AUM
₹644 cr
Expense ratio
0.07%
3Y CAGR
Risk level
Low
Min SIP
₹100
Benchmark
Underlying index
Fund manager: Sushil BudhiaExit load: Nil
Average · 49/100

Middle-of-the-pack — compare it against better-scored peers.

🎯 Best held for the long term (5+ years) as part of a diversified portfolio.

📈 Why it could do well

  • Protects capital well — worst-ever fall was only 0%.
  • Low volatility (1% a year) — a steady, low-drama ride.
  • Low cost — 0.07% expense ratio means more of the return stays with you.
  • Max drawdown: -0%

📉 What could drag it down

  • Weak risk-adjusted returns (Sharpe -0.69) — took on risk without enough payoff.
  • Short track record — not enough history yet to judge long-term performance; treat the score as provisional.
  • 1Y return: +6.1%
  • 1Y return vs category: -4.1% vs category avg

FundScore breakdown

49/100 · Average
How it works →
8
Returns
Weak
50
Consistency
Average
25
Risk-adjusted
Weak
100
Downside protection
Excellent
90
Cost efficiency
Excellent
50
Portfolio quality
Average

Each dial rates the fund 0–100 on one factor, computed from real NAV history. Fuller & greener = stronger.

SIP return calculator

Back-tested on this fund's actual historical NAVs. Past performance ≠ future returns.