Nippon India Conservative Hybrid Fund
Nippon India
Nippon India Conservative Hybrid Fund NAV
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Frequently Asked Questions
What is the NAV of Nippon India Conservative Hybrid Fund today?
As of 25-Jun-2026, the Net Asset Value (NAV) of Nippon India Conservative Hybrid Fund (Direct-Growth plan) is ₹68.3017. NAV is declared once per business day by the fund house.
Which category does Nippon India Conservative Hybrid Fund belong to?
Nippon India Conservative Hybrid Fund is a Conservative Hybrid Fund scheme managed by Nippon India Mutual Fund.
What is the difference between the Direct and Regular plan?
The Direct plan shown here has a lower expense ratio because it carries no distributor commission, so its NAV and long-term returns are typically higher than the Regular plan of the same fund.
How can I invest in Nippon India Conservative Hybrid Fund?
You can invest via SIP or lumpsum through any SEBI-registered platform or directly with Nippon India Mutual Fund. Use MoneyDock's free SIP and lumpsum calculators to estimate your potential returns first.
NAV data sourced from AMFI. For informational purposes only — not investment advice. Mutual fund investments are subject to market risks; read all scheme-related documents carefully.