NAV History
| Date | NAV (₹) | Change |
|---|---|---|
| 27-01-2022 | 0.5342 | +0.3989 (+294.83%) |
| 25-01-2022 | 0.1353 | +0.0001 (+0.07%) |
| 24-01-2022 | 0.1352 | +0.0001 (+0.07%) |
| 21-01-2022 | 0.1351 | +0.0000 (+0.00%) |
| 20-01-2022 | 0.1351 | +0.0001 (+0.07%) |
| 19-01-2022 | 0.1350 | +0.0000 (+0.00%) |
| 18-01-2022 | 0.1350 | +0.0000 (+0.00%) |
| 17-01-2022 | 0.1350 | +0.0002 (+0.15%) |
| 14-01-2022 | 0.1348 | +0.0000 (+0.00%) |
| 13-01-2022 | 0.1348 | +0.0000 (+0.00%) |
| 12-01-2022 | 0.1348 | +0.0001 (+0.07%) |
| 11-01-2022 | 0.1347 | +0.0000 (+0.00%) |
| 10-01-2022 | 0.1347 | +0.0001 (+0.07%) |
| 07-01-2022 | 0.1346 | +0.0001 (+0.07%) |
| 06-01-2022 | 0.1345 | +0.0000 (+0.00%) |
| 05-01-2022 | 0.1345 | +0.0000 (+0.00%) |
| 04-01-2022 | 0.1345 | +0.0001 (+0.07%) |
| 03-01-2022 | 0.1344 | +0.0001 (+0.07%) |
| 31-12-2021 | 0.1343 | +0.0000 (+0.00%) |
| 30-12-2021 | 0.1343 | +0.0001 (+0.07%) |
| 29-12-2021 | 0.1342 | +0.0000 (+0.00%) |
| 28-12-2021 | 0.1342 | +0.0001 (+0.07%) |
| 27-12-2021 | 0.1341 | +0.0001 (+0.07%) |
| 24-12-2021 | 0.1340 | +0.0000 (+0.00%) |
| 23-12-2021 | 0.1340 | +0.0000 (+0.00%) |
| 22-12-2021 | 0.1340 | +0.0001 (+0.07%) |
| 21-12-2021 | 0.1339 | +0.0000 (+0.00%) |
| 20-12-2021 | 0.1339 | +0.0001 (+0.07%) |
| 17-12-2021 | 0.1338 | +0.0001 (+0.07%) |
| 16-12-2021 | 0.1337 | +0.0000 (+0.00%) |
| 15-12-2021 | 0.1337 | +0.0000 (+0.00%) |
| 14-12-2021 | 0.1337 | +0.0001 (+0.07%) |
| 13-12-2021 | 0.1336 | +0.0001 (+0.07%) |
| 10-12-2021 | 0.1335 | +0.0000 (+0.00%) |
| 09-12-2021 | 0.1335 | +0.0001 (+0.07%) |
| 08-12-2021 | 0.1334 | +0.0000 (+0.00%) |
| 07-12-2021 | 0.1334 | +0.0001 (+0.08%) |
| 06-12-2021 | 0.1333 | +0.0001 (+0.08%) |
| 03-12-2021 | 0.1332 | +0.0000 (+0.00%) |
| 02-12-2021 | 0.1332 | +0.0000 (+0.00%) |
| 01-12-2021 | 0.1332 | +0.0001 (+0.08%) |
| 30-11-2021 | 0.1331 | +0.0000 (+0.00%) |
| 29-11-2021 | 0.1331 | +0.0001 (+0.08%) |
| 26-11-2021 | 0.1330 | +0.0001 (+0.08%) |
| 25-11-2021 | 0.1329 | +0.0000 (+0.00%) |
| 24-11-2021 | 0.1329 | +0.0000 (+0.00%) |
| 23-11-2021 | 0.1329 | +0.0001 (+0.08%) |
| 22-11-2021 | 0.1328 | +0.0001 (+0.08%) |
| 18-11-2021 | 0.1327 | +0.0001 (+0.08%) |
| 17-11-2021 | 0.1326 | +0.0000 (+0.00%) |
| 16-11-2021 | 0.1326 | +0.0001 (+0.08%) |
| 15-11-2021 | 0.1325 | +0.0001 (+0.08%) |
| 12-11-2021 | 0.1324 | +0.0000 (+0.00%) |
| 11-11-2021 | 0.1324 | +0.0000 (+0.00%) |
| 10-11-2021 | 0.1324 | +0.0001 (+0.08%) |
| 09-11-2021 | 0.1323 | +0.0000 (+0.00%) |
| 08-11-2021 | 0.1323 | +0.0002 (+0.15%) |
| 03-11-2021 | 0.1321 | +0.0000 (+0.00%) |
| 02-11-2021 | 0.1321 | +0.0001 (+0.08%) |
| 01-11-2021 | 0.1320 | +0.0001 (+0.08%) |
Nippon India Credit Risk Fund - Segregated Portfolio 1 - Direct Plan - Growth Plan is a mutual fund scheme offered by Nippon India Mutual Fund. It is classified under the Debt Scheme - Credit Risk Fund category by SEBI. As a Direct Growth plan, it has a lower expense ratio than its Regular counterpart, with all gains reinvested for compounding. The latest NAV is ₹0.53420 as on 27-01-2022. Debt mutual funds invest in fixed-income securities like government bonds, corporate bonds, treasury bills, and money market instruments. They provide relatively stable returns with lower volatility than equity funds. Various sub-categories cater to different duration and credit risk preferences. Past performance does not guarantee future results. Please consult a SEBI-registered financial advisor before investing.