Nippon India Nifty G-sec Jun 2036 Maturity Index Fund Regular-growth

  • 3 Months
  • 6 Months
  • 1 Year
  • 3 Years
  • 5 Years
  • RSI
3 Months Returns : 0.37%
Fund NAV

Fund Overview of Nippon India Nifty G-sec Jun 2036 Maturity Index Fund Regular-growth

  • ₹782.4 Cr
    AUM
  • ₹12.82
    NAV
  • 0.42%
    Expense Ratio
  • Debt
    Fund Category
As on Mon Apr 27, 2026
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Returns of Nippon India Nifty G-sec Jun 2036 Maturity Index Fund Regular-growth

Tenure Absolute(%) Annualised(%) Category Average(%)
3 Months 0.37% NA 0.78%
6 Months 1.02% NA 4.37%
1 Year 2.04% 2.04% 8.22%
2 Years 15.44% 7.44% 8.34%
3 Years 23.39% 7.26% 7.62%
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As on Mon Apr 27, 2026

Asset Allocation

debt instruments

97.28%

other assets or cash equivalents

2.72%
Top Holdings
7.54% Govt Of India Red 23-05-2036
83.72%
7.54% Govt Of India Red 23-05-2036
83.06%
7.54% Govt Of India Red 23-05-2036
82.91%
7.54% Govt Of India Red 23-05-2036
81.68%
7.54% Govt Of India Red 23-05-2036
80.48%
 
Top Sectors
Entities
781.65%
Unspecified
18.58%
Detailed Portfolio Analysis
As on Mon Apr 27, 2026
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About Fund

About Nippon India Nifty G-sec Jun 2036 Maturity Index Fund Regular-growth

Nippon India Nifty G-sec Jun 2036 Maturity Index Fund Regular-growth is one Debt mutual fund offered by Nippon India Mutual Fund. Launched on 19 Dec 2022, the fund aims Income over long term. Investments in Government Securities that seek to track the Nifty G-Sec Jun 2036 Index, subject to tracking errors. It manages assets worth ₹782.4 crore as on Tue Mar 31, 2026. The expense ratio stands at 0.42%.
The portfolio allocation consists of 97.28% in debt instruments, 2.72% in other assets or cash equivalents.Managed by Vivek Sharma, it has delivered a return of 2.04% in the last year, a total return since inception of 7.67%.
Based on investment horizon investors may review best sip plans as part of the long-term financial strategy.

Read more
  • Vivek Sharma

    Fund Manager

  • Mr. Vivek Sharma is a B.E (Electronics) and PGDM (Finance).

    Manager Education

Key Metrics of Nippon India Nifty G-sec Jun 2036 Maturity Index Fund Regular-growth

  • Standard Deviation
    3.37%
  • Sharpe Ratio
    0.35%

Fund Details

Fund Names Nippon India Nifty G-sec Jun 2036 Maturity Index Fund Regular-growth
Inception Date 19 Dec 2022
Lock In No Lock-in
SIP Minimum Investment amount ₹100
SWP Minimum Investment amount ₹500
STP Minimum Investment amount ₹100
 
Risk Principal at moderate risk
Category Average Annual Returns 8.22
More Details

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Top Performing Mutual Funds

Fund Names AUM (Cr) 1M 3M 1Yr 3Yr 5Yr
Bharat Bond Etf - April 2030-growth trend ₹24,761 0.91% 1.08% 5.03% 7.39% 6.61%
Bharat Bond Fof - April 2030 Regular-growth trend ₹8,992 1.00% 1.02% 4.61% 7.41% 6.54%
Bharat Bond Fof - April 2030 Direct-growth trend ₹8,992 1.00% 1.02% 4.61% 7.41% 6.54%
Bharat Bond Fof - April 2030 Direct-idcw trend ₹8,992 1.00% 1.02% 4.61% 7.41% 6.54%
Bharat Bond Fof - April 2030 Regular-idcw trend ₹8,992 1.00% 1.02% 4.61% 7.41% 6.54%
Bharat Bond Etf - April 2031-growth trend ₹13,166 0.92% 0.99% 4.42% 7.34% 6.44%
Bharat Bond Fof - April 2031 Direct-growth trend ₹4,538 1.06% 0.56% 4.28% 7.40% 6.39%
Bharat Bond Fof - April 2031 Regular-growth trend ₹4,538 1.06% 0.56% 4.28% 7.40% 6.39%
Bharat Bond Fof - April 2031 Direct-idcw trend ₹4,538 1.06% 0.56% 4.28% 7.40% 6.39%
Bharat Bond Fof - April 2031 Regular-idcw trend ₹4,538 1.06% 0.56% 4.28% 7.40% 6.39%
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increase growth is based on 1-month returns of the funds & Top fund are based on 3Y Returns

More funds from Nippon India Mutual Fund

increase growth is based on 1-month returns of the funds

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Top Mutual Funds

Fund Names AUM (Cr) NAV 3Yr 5Yr 10Yr
Bharat Bond Etf - April 2030-growth trend ₹24,761 ₹1,572.99 7.39% 6.61% -
Bharat Bond Etf - April 2031-growth trend ₹13,166 ₹1,402.51 7.34% 6.44% -
Bharat Bond Etf - April 2032-growth trend ₹10,587 ₹1,316.39 7.38% - -
Bharat Bond Fof - April 2030 Regular-growth trend ₹8,992 ₹15.65 7.41% 6.54% -
Bharat Bond Fof - April 2030 Direct-growth trend ₹8,992 ₹15.65 7.41% 6.54% -
Bharat Bond Fof - April 2030 Direct-idcw trend ₹8,992 ₹15.65 7.41% 6.54% -
Bharat Bond Fof - April 2030 Regular-idcw trend ₹8,992 ₹15.65 7.41% 6.54% -
ICICI Prudential Nifty Psu Bond Plus Sdl Sep 2027 40:60 Index Fund-growth trend ₹8,823 ₹12.96 7.14% - -
ICICI Prudential Nifty Psu Bond Plus Sdl Sep 2027 40:60 Index Fund Direct-growth trend ₹8,823 ₹13.08 7.34% - -
ICICI Prudential Nifty Psu Bond Plus Sdl Sep 2027 40:60 Index Fund-idcw Yearly trend ₹8,823 ₹12.96 7.14% - -
View More
Top funds are based on Fund AUM

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Detailed Portfolio

Stocks Sector % of Holding Value
7.54% Govt Of India Red 23-05-2036Entities83.72%₹739.76 Cr
7.54% Govt Of India Red 23-05-2036Entities83.06%₹731.57 Cr
7.54% Govt Of India Red 23-05-2036Entities82.91%₹730.94 Cr
7.54% Govt Of India Red 23-05-2036Entities81.68%₹690.64 Cr
7.54% Govt Of India Red 23-05-2036Entities80.48%₹679.25 Cr
7.54% Govt Of India Red 23-05-2036Entities79.61%₹678.61 Cr
7.54% Govt Of India Red 23-05-2036Entities79.72%₹678.35 Cr
7.54% Govt Of India Red 23-05-2036Entities83.61%₹654.10 Cr
Central Government Loan 30734 Goi 15dc35 6.67 Fv Rs 100Entities16.81%₹143.32 Cr
Central Government Loan 30734 Goi 15dc35 6.67 Fv Rs 100Entities16.82%₹143.09 Cr
Central Government Loan 30734 Goi 15dc35 6.67 Fv Rs 100Entities16.85%₹142.21 Cr
Central Government Loan 30734 Goi 15dc35 6.67 Fv Rs 100Entities13.99%₹118.29 Cr
Central Government Loan 30734 Goi 15dc35 6.67 Fv Rs 100Entities11.67%₹103.08 Cr
Central Government Loan 30734 Goi 15dc35 6.67 Fv Rs 100Entities11.69%₹103.08 Cr
Central Government Loan 30734 Goi 15dc35 6.67 Fv Rs 100Entities11.66%₹102.69 Cr
Central Government Loan 30734 Goi 15dc35 6.67 Fv Rs 100Entities12.80%₹100.12 Cr
Government Of India 36574 Goi 06ot35 6.48 Fv Rs 100Entities3.35%₹29.54 Cr
Government Of India 36574 Goi 06ot35 6.48 Fv Rs 100Entities2.95%₹24.96 Cr
Government Of India 36574 Goi 06ot35 6.48 Fv Rs 100Entities2.80%₹24.78 Cr
Government Of India 36574 Goi 06ot35 6.48 Fv Rs 100Entities2.80%₹24.67 Cr
Net Current AssetsUnspecified2.90%₹24.64 Cr
RepoUnspecified2.51%₹21.25 Cr
Net Current AssetsUnspecified2.38%₹18.75 Cr
Net Current AssetsUnspecified1.84%₹16.12 Cr
Net Current AssetsUnspecified1.78%₹15.06 Cr
Net Current AssetsUnspecified1.73%₹14.73 Cr
RepoUnspecified1.49%₹12.64 Cr
Net Current AssetsUnspecified1.29%₹11.26 Cr
RepoUnspecified0.95%₹8.37 Cr
Net Current AssetsUnspecified0.63%₹5.57 Cr
RepoUnspecified0.65%₹5.45 Cr
Government Of India 36574 Goi 06ot35 6.48 Fv Rs 100Entities0.62%₹4.81 Cr
RepoUnspecified0.54%₹4.74 Cr
RepoUnspecified0.45%₹3.82 Cr
RepoUnspecified0.42%₹3.73 Cr
RepoUnspecified0.34%₹2.63 Cr
Central Government Loan 05002 Goi 09sp35 7.40 Fv Rs 100Entities0.23%₹1.99 Cr
Central Government Loan 05002 Goi 09sp35 7.40 Fv Rs 100Entities0.23%₹1.98 Cr
Central Government Loan 05002 Goi 09sp35 7.40 Fv Rs 100Entities0.22%₹1.98 Cr
Goi Sec 7.40 09/09/2035Entities0.22%₹1.98 Cr
Central Government Loan 05002 Goi 09sp35 7.40 Fv Rs 100Entities0.23%₹1.98 Cr
Goi Sec 7.40 09/09/2035Entities0.22%₹1.97 Cr
Central Government Loan 05002 Goi 09sp35 7.40 Fv Rs 100Entities0.23%₹1.97 Cr
Goi Sec 7.40 09/09/2035Entities0.22%₹1.96 Cr
Goi Sec 7.40 09/09/2035Entities0.25%₹1.92 Cr
Others Mrgn MoneyUnspecified0.01%₹0.11 Cr
Others Mrgn MoneyUnspecified0.01%₹0.09 Cr
Others Mrgn MoneyUnspecified0.01%₹0.09 Cr
Others Mrgn MoneyUnspecified0.01%₹0.07 Cr
Others Mrgn MoneyUnspecified0.00%₹0.04 Cr
Others Mrgn MoneyUnspecified0.00%₹0.04 Cr
Others Mrgn MoneyUnspecified0.00%₹0.02 Cr
Others Mrgn MoneyUnspecified0.00%₹0.02 Cr
Net PayablesUnspecified-1.37%₹-11.66 Cr
View More

Top Debt Funds

Fund Names NAV 3Yr 5Yr 52 weeks high
Bharat Bond Etf - April 2030-growth increase ₹1,572.99 7.39% 6.61% -
Bharat Bond Fof - April 2030 Regular-growth increase ₹15.65 7.41% 6.54% -
Bharat Bond Fof - April 2030 Direct-growth increase ₹15.65 7.41% 6.54% -
Bharat Bond Fof - April 2030 Direct-idcw increase ₹15.65 7.41% 6.54% -
Bharat Bond Fof - April 2030 Regular-idcw increase ₹15.65 7.41% 6.54% -
Bharat Bond Etf - April 2031-growth increase ₹1,402.51 7.34% 6.44% -
Bharat Bond Fof - April 2031 Direct-growth increase ₹13.98 7.40% 6.39% -
Bharat Bond Fof - April 2031 Regular-growth increase ₹13.98 7.40% 6.39% -
Bharat Bond Fof - April 2031 Direct-idcw increase ₹13.98 7.40% 6.39% -
Bharat Bond Fof - April 2031 Regular-idcw increase ₹13.98 7.40% 6.39% -
View More
increase growth is based on 5Y returns of the funds

Frequently Asked Questions

Nippon India Nifty G-sec Jun 2036 Maturity Index Fund Regular-growth

What is the current AUM of Nippon India Nifty G-sec Jun 2036 Maturity Index Fund Regular-growth?

As of Tue Mar 31, 2026, Nippon India Nifty G-sec Jun 2036 Maturity Index Fund Regular-growth manages assets worth ₹782.4 crore

How has Nippon India Nifty G-sec Jun 2036 Maturity Index Fund Regular-growth performed recently?

  • 3 Months: 0.37%
  • 6 Months: 1.02%

What is the long-term performance of Nippon India Nifty G-sec Jun 2036 Maturity Index Fund Regular-growth?

  • 3 Years CAGR: 7.26%
  • Since Inception: 7.67%

What is the portfolio composition of Nippon India Nifty G-sec Jun 2036 Maturity Index Fund Regular-growth?

Debt: 97.28%, Others: 2.72%.

Who manages Nippon India Nifty G-sec Jun 2036 Maturity Index Fund Regular-growth?

Nippon India Nifty G-sec Jun 2036 Maturity Index Fund Regular-growth is managed by Vivek Sharma from Nippon India Mutual Fund.

Which are the top companies Nippon India Nifty G-sec Jun 2036 Maturity Index Fund Regular-growth has invested in?

  • 7.54% GOVT OF INDIA RED 23-05-2036 – 83.72% of the fund's portfolio
  • 7.54% GOVT OF INDIA RED 23-05-2036 – 83.06% of the fund's portfolio
  • 7.54% GOVT OF INDIA RED 23-05-2036 – 82.91% of the fund's portfolio
  • 7.54% GOVT OF INDIA RED 23-05-2036 – 81.68% of the fund's portfolio
  • 7.54% GOVT OF INDIA RED 23-05-2036 – 80.48% of the fund's portfolio

Which are the major sectors Nippon India Nifty G-sec Jun 2036 Maturity Index Fund Regular-growth focuses on?

  • Entities – 781.65% of the fund's portfolio
  • Unspecified – 18.58% of the fund's portfolio
View more FAQ's

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