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Nippon India Taiwan Equity Fund

Nippon India Mutual Fund · Thematic Fund

AMFI scheme code 149329 · NAV as of 2026-10-01. Stored fund data, updated 2026-10-03T05:57:58.153333.

NAV vs benchmark

NAV: 38.21 INR per unit. Interactive history and benchmark comparisons require JavaScript.
Scoring
MF-Score 50
MF Green Score 100
MF Black Score 50
Avg Q-Score β€”
Avg Technical Upside% β€”
Avg Analyst Upside% β€”
Returns
Ret 1M % 0.01 peer avg -5.18 · n=59 · Thematic Fund
Ret 3M % -2.13 peer avg -2.46 · n=59 · Thematic Fund
Ret 6M % 43.57 peer avg 12.68 · n=59 · Thematic Fund
Ret YTD % 99.96 peer avg 2.89 · n=59 · Thematic Fund
Ret 1Y % 121.55 peer avg 5.39 · n=59 · Thematic Fund
CAGR 3Y % 62.97 peer avg 15.56 · n=59 · Thematic Fund
CAGR 5Y % β€” peer avg 12.72 · n=59 · Thematic Fund
CAGR Incep % 32.92 peer avg 9.13 · n=59 · Thematic Fund
Risk
Volatility % 35.64 peer avg 16.01 · n=59 · Thematic Fund
Max Drawdown % -44.77 peer avg -24.15 · n=59 · Thematic Fund
Sharpe 1.58 peer avg 0.17 · n=59 · Thematic Fund
Sortino 2.23 peer avg 0.2 · n=59 · Thematic Fund
Beta 0.57 peer avg 0.93 · n=59 · Thematic Fund
Alpha % 57.4 peer avg 10.54 · n=59 · Thematic Fund
Price
NAV 38.21
Cost & Info
TER % β€” peer avg 1.22 · n=59 · Thematic Fund
AUM (β‚Ή cr) β€” peer avg 1626.94 · n=59 · Thematic Fund
Mgr Tenure (yr) β€”
Details
Category Thematic Fund
Fund House Nippon India Mutual Fund
Broad Type Equity
Fund Manager β€”
Inception Dec 2021

Fund Information

Fund HouseNippon India Mutual Fund
NAV Date2026-10-01

Portfolio Holdings

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Holdings data is not available for this fund.