Nippon India Dynamic Bond Fund(G)-Direct Plan
This fund ranks 2nd out of 22 funds in its category.
Ability to significantly outperform benchmark returns.
High AUM often signifies stability and credibility, along with well diversification.
Relatively low modified duration indicates that it is less affected by changes in interest rates in the market, suggesting lower risk for the fund.
Historically the fund has generated low returns.
Exhibits a relatively high level of volatility, indicated by its elevated standard deviation.
Investors with a 1 to 3 years of investment horizon with a moderate risk appetite should invest in this fund. The ability of the fund manager to correctly predict the direction of interest rates determines performance.
Short term investors and those who take very low risks should avoid this fund.
This analysis is updated as on March 2025.
The Information in the scoring and ranking model is provided solely for general information and educational purposes and shall not constitute any advice or recommendation. Mutual Fund investments are subject to market risks. Please read all scheme-related documents carefully before investing. Past performance is not an indicator of future returns.
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