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Nippon India Fixed Maturity Plan Xliv - Series 1 Regular-growth

Debt
Low to Moderate Risk

Latest AUM

₹ 80.2 Cr.

NAV as on 03 aug, 2026

₹ 13.25

+20.58% 3 years annulised
This Fund

Fund Details

Fund Names Nippon India Fixed Maturity Plan Xliv - Series 1 Regular-growth
Inception Date 21 Sep 2022
Lock In No Lock-in
Risk Principal at low to moderate risk
Category Average Annual Returns 6.67

Portfolio Composition Analysis

Debt 99.28%
Cash 0.72%
Portfolio Updated on: 07 Jul, 2026

Sector Allocations

Debt
Industrials
700.64%
Entities
379.84%
Financial
7.65%

Portfolio Updated on: 03 aug, 2026

Top 10 Holdings

Name Sector Instruments Assets
Gujarat State SDL 7.52 24/05/2027 Industrials State Development Loan 59.57%
Gujarat State SDL 7.52 24/05/2027 Industrials State Development Loan 59.21%
Gujarat State SDL 7.52 24/05/2027 Industrials State Development Loan 60.21%
Gujarat State SDL 7.52 24/05/2027 Industrials State Development Loan 59.86%
Gujarat State SDL 7.52 24/05/2027 Industrials State Development Loan 58.83%
Gujarat State SDL 7.52 24/05/2027 Industrials State Development Loan 58.20%
Gujarat State SDL 7.52 24/05/2027 Industrials State Development Loan 58.50%
Gujarat State SDL 7.52 24/05/2027 Industrials State Development Loan 57.85%
Gujarat State SDL 7.52 24/05/2027 Industrials State Development Loan 56.87%
Gujarat State SDL 7.52 24/05/2027 Industrials State Development Loan 56.87%

Debt & Credit Risk Analysis

Returns vs. Category (1 year)
Returns vs. Category (RSI)
Sharpe Ratio1.55%
Standard Deviation0.95%
Sortino Ratio2.83%

Returns Analysis

Tenure Absolute Annualised Category Average
3 Months 1.76% NA 1.50%
6 Months 2.93% NA 3.12%
9 Months 4.31% NA 4.84%
1 Year 5.66% 5.66% 6.67%
2 Years 14.81% 7.15% 6.93%
3 Years 24.23% 7.50% 6.82%

Nippon India Fixed Maturity Plan Xliv - Series 1 Regular-growth is one Debt mutual fund offered by Nippon India Mutual Fund. Launched on 21 Sep 2022, the fund aims Returns and growth over Long Term. Limiting interest rate volatility by investment in debt, money market and G-Sec instruments maturing on or before the date of maturity of the scheme. It manages assets worth ₹80.2 crore as on Tue Jun 30, 2026. The expense ratio stands at 0.37%.

Vikash Agarwal has experience Prior to joining Nippon AMC, he has worked with HDFC AMC, Larsen & Toubro Ltd.

Top Performing Mutual Funds

Fund name
Bandhan Fixed Term Plan Series 179 Direct-growth372.8+0.35%+2.27%+2.85%+5.09%+7.90%+7.04%
Bandhan Fixed Term Plan Series 179 Direct-idcw Half Yearly372.8+0.35%+2.27%+2.85%+5.09%+7.90%+7.04%
Nippon India Fixed Maturity Plan Xli - Series 8 Direct-growth69.8+0.36%+2.32%+2.89%+5.05%+7.88%+7.00%
Nippon India Fixed Maturity Plan Xli - Series 8 Direct-idcw69.8+0.36%+2.32%+2.89%+5.05%+7.88%+7.00%
SBI Fixed Maturity Plan - Series 1 (3668 Days) Direct-growth52.0+0.33%+2.22%+2.83%+5.13%+7.85%+7.00%
SBI Fixed Maturity Plan - Series 1 (3668 Days) Direct-idcw52.0+0.33%+2.22%+2.83%+5.13%+7.85%+7.00%
ICICI Prudential Fixed Maturity Plan - Series 85 10 Years Plan I Direct-growth492.4+0.36%+2.24%+2.85%+5.08%+7.82%+6.99%
SBI Fixed Maturity Plan - Series 34 (3682 Days) Direct-growth29.8+0.40%+2.57%+3.21%+5.06%+7.78%+6.93%
SBI Fixed Maturity Plan - Series 34 (3682 Days) Direct-idcw29.8+0.40%+2.57%+3.21%+5.06%+7.78%+6.93%
SBI Fixed Maturity Plan - Series 6 (3668 Days) Direct-growth37.6+0.34%+2.22%+2.78%+5.02%+7.76%+6.87%

growth is based on 1-month returns of the funds & Top fund are based on 3Y Returns

More Funds from Nippon India Mutual Fund

Fund name
Nippon India Fixed Maturity Plan Xliii - Series 5 Regular-growth188.6+0.46%+2.05%+2.76%+4.95%+7.60%
Nippon India Fixed Maturity Plan Xliii - Series 5 Direct-growth188.6+0.47%+2.10%+2.86%+5.16%+7.82%
Nippon India Fixed Maturity Plan Xliii - Series 5 Regular-idcw188.6+0.46%+2.05%+2.76%+4.95%+7.60%
Nippon India Fixed Maturity Plan Xliii - Series 5 Direct-idcw188.6+0.47%+2.10%+2.86%+5.16%+7.82%
Nippon India Fixed Maturity Plan Xliv - Series 1 Direct-growth80.2+0.42%+1.81%+3.04%+5.88%+7.72%
Nippon India Fixed Maturity Plan Xliv - Series 1 Regular-idcw80.2+0.40%+1.76%+2.93%+5.66%+7.50%
Nippon India Fixed Maturity Plan Xliv - Series 1 Direct-idcw80.2+0.42%+1.81%+3.04%+5.88%+7.72%
Nippon India Fixed Maturity Plan Xli - Series 8 Regular-growth69.8+0.33%+2.24%+2.74%+4.74%+7.56%+6.68%
Nippon India Fixed Maturity Plan Xli - Series 8 Direct-growth69.8+0.36%+2.32%+2.89%+5.05%+7.88%+7.00%

growth is based on 1-month returns of the funds

Top Mutual Funds

Fund name
SBI Fixed Maturity Plan - Series 67 (1467 Days) Direct-growth626.9+0.43%+1.33%+2.67%+5.54%+7.13%
SBI Fixed Maturity Plan - Series 67 (1467 Days) Regular-growth626.9+0.42%+1.31%+2.63%+5.44%+7.02%
SBI Fixed Maturity Plan - Series 67 (1467 Days) Regular-idcw626.9+0.42%+1.31%+2.63%+5.44%+7.02%
SBI Fixed Maturity Plan - Series 67 (1467 Days) Direct-idcw626.9+0.43%+1.33%+2.67%+5.54%+7.13%
HDFC Fmp 1861d March 2022 Regular-growth504.6+0.43%+1.58%+2.94%+5.83%+7.48%
HDFC Fmp 1861d March 2022 Direct-growth504.6+0.44%+1.63%+3.03%+6.00%+7.65%
HDFC Fmp 1861d March 2022 Regular-idcw504.6+0.43%+1.58%+2.94%+5.83%+7.48%
HDFC Fmp 1861d March 2022 Direct-idcw504.6+0.44%+1.63%+3.03%+6.00%+7.65%
HDFC Fmp 1861d March 2022 Regular-idcw Quarterly504.6+0.43%+1.58%+2.94%+5.83%+7.48%
HDFC Fmp 1861d March 2022 Direct-idcw Quarterly504.6+0.44%+1.63%+3.03%+6.00%+7.65%

Top funds are based on Fund AUM

Historical NAV

Date NAV
03 Aug 2026 ₹13.25
31 Jul 2026 ₹13.24
30 Jul 2026 ₹13.24
29 Jul 2026 ₹13.24
28 Jul 2026 ₹13.24
27 Jul 2026 ₹13.24
24 Jul 2026 ₹13.23
23 Jul 2026 ₹13.23
22 Jul 2026 ₹13.23
21 Jul 2026 ₹13.23
20 Jul 2026 ₹13.23
17 Jul 2026 ₹13.22
16 Jul 2026 ₹13.22
15 Jul 2026 ₹13.22
14 Jul 2026 ₹13.21
13 Jul 2026 ₹13.22
10 Jul 2026 ₹13.21
09 Jul 2026 ₹13.21
08 Jul 2026 ₹13.20
07 Jul 2026 ₹13.20
06 Jul 2026 ₹13.20
03 Jul 2026 ₹13.20
02 Jul 2026 ₹13.19
01 Jul 2026 ₹13.19
30 Jun 2026 ₹13.19
29 Jun 2026 ₹13.19
25 Jun 2026 ₹13.18
24 Jun 2026 ₹13.17
23 Jun 2026 ₹13.16
22 Jun 2026 ₹13.16

Portfolio Updated on: 04 Aug, 2026

Fund Growth & Size Analysis

+₹80.2 Cr Since Launch
This Fund
Category Average

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Nippon India Fixed Maturity Plan Xliv - Series 1 Regular-growth Returns Comparison

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Nippon India Fixed Mat....

Nippon India Fixed Maturity Plan Xliv - Series 1 Regular-growth FAQ'S

  • Sharpe Ratio: 1.55%
  • Standard Deviation: 0.95%
  • Additional important ratios:

  • Sortino Ratio: 2.83%

As of Tue Jun 30, 2026, the total assets managed under Nippon India Fixed Maturity Plan Xliv - Series 1 Regular-growth stand at approximately ₹ 80.2 crore.

The Nippon India Fixed Maturity Plan Xliv - Series 1 Regular-growth has delivered the following short-term performance:

  • 3 Months Return: 1.76%
  • 6 Months Return: 2.93%

The historical growth of the Nippon India Fixed Maturity Plan Xliv - Series 1 Regular-growth is reflected through its CAGR returns:

  • 3 Year CAGR: 7.50%
  • Return Since Launch: 7.54%

The portfolio of Nippon India Fixed Maturity Plan Xliv - Series 1 Regular-growth is distributed across different asset classes as follows:

  • Debt Instruments: 99.28%
  • Other Assets: 0.72%

The Nippon India Fixed Maturity Plan Xliv - Series 1 Regular-growth is managed by Vikash Agarwal, representing Nippon India Mutual Fund.

Top stock holdings of Nippon India Fixed Maturity Plan Xliv - Series 1 Regular-growth include:

  • Gujarat State SDL 7.52 24/05/2027 – represents 59.57% of the portfolio
  • Gujarat State SDL 7.52 24/05/2027 – represents 59.21% of the portfolio
  • Gujarat State SDL 7.52 24/05/2027 – represents 60.21% of the portfolio
  • Gujarat State SDL 7.52 24/05/2027 – represents 59.86% of the portfolio
  • Gujarat State SDL 7.52 24/05/2027 – represents 58.83% of the portfolio
  • Gujarat State SDL 7.52 24/05/2027 – represents 58.20% of the portfolio
  • Gujarat State SDL 7.52 24/05/2027 – represents 58.50% of the portfolio
  • Gujarat State SDL 7.52 24/05/2027 – represents 57.85% of the portfolio
  • Gujarat State SDL 7.52 24/05/2027 – represents 56.87% of the portfolio
  • Gujarat State SDL 7.52 24/05/2027 – represents 56.87% of the portfolio

Major sector exposures in Nippon India Fixed Maturity Plan Xliv - Series 1 Regular-growth are:

  • Industrials – accounts for 700.64% of the portfolio
  • Entities – accounts for 379.84% of the portfolio
  • Financial – accounts for 7.65% of the portfolio

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