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Compiled by Rupeestop LLP, SEBI RIA INA000022701. NAV as on 18 Aug 2026. Factsheet Oct 2025. About · Disclosures

Nippon India Conservative Hybrid Fund Segregated Portfolio 2

Nippon Life India Asset Management Ltd
Conservative HybridDirectMonthly IDCW Payout
NAV

₹0

As on 18 Aug 2026

Returns

From NAVs through 18 Aug 2026

1Y
Total
3Y
p.a.
5Y
p.a.
SI
p.a.

We need more price history before we can show returns.

Fund facts

Fund details from the Oct 2025 factsheet

Launched08 Mar 2020
StructureOpen Ended
ISININF204KB15O7

FAQ

What is Nippon India Conservative Hybrid Fund Segregated Portfolio 2 NAV today?

The latest NAV of Nippon India Conservative Hybrid Fund Segregated Portfolio 2 is ₹0 as on 18 Aug 2026.

How would a SIP in Nippon India Conservative Hybrid Fund Segregated Portfolio 2 have been illustrated?

The SIP illustration on this page uses ₹5,000 a month for 10 years at this fund's 3-year annualised return. It is not a forecast.

What is the ISIN of Nippon India Conservative Hybrid Fund Segregated Portfolio 2?

The ISIN for Nippon India Conservative Hybrid Fund Segregated Portfolio 2 is INF204KB15O7.

Mutual fund investments are subject to market risks. Read all scheme related documents carefully before investing. Past performance does not guarantee future returns and is not an indicator of future results.

Figures on this page come from published NAVs and the scheme's monthly factsheet. They are for information only and are not investment advice or a recommendation to buy or sell any scheme.