Objective: The fund seeks to benefit from opportunities available in the
corporate bond market space at different points in time. Therefore,
this fund invests based on short to medium term interest rate view
and shape of the yield curve. It endeavors to invest approx 85% in
long term AAA rated issuers and intend to maintain portfolio duration
between 1.5 - 1.75 years. The fund is suitable for investors with 6 -
18 months investment horizon.
Nippon India Corporate Bond Fund Growth is an Fixed Income - Corporate Bond fund. The fund was launched inSep 14, 2000. Its risk level is . The NAV of the fund as onDec 26, 2025 is ₹61.66. Its expense ratio is 0.67 %. The fund has an AUM of ₹11,275.78 Cr.The fund is managed byVivek Sharma,Akshay Sharma,Kinjal Desai,Lokesh Maru,Divya Sharma.
The minimum initial investment is ₹1000 in Lumpsum mode.











