Nippon India Floating Rate Fund - Direct (G) vs Tata Digital India Fund - Direct (G)

Nippon India Floating Rate Fund - Direct (G)
10.15%

Tata Digital India Fund - Direct (G)
14.06%
About Fund
Deutsche Bank AG
Karvy Computershare Pvt. Ltd.
Deutsche Bank HDFC CitiBank N.A. Standard Chartered Bank
CAMS Ltd. Karvy Computershare P Ltd MCS Ltd.
Fund Details
Low to Moderate Risk
5000
7777.46
0.17
47.5217
January 1, 2013
0
Very High Risk
5000
11037.44
0.1
53.9572
December 4, 2015
0
Low to Moderate Risk
5000
7777.46
0.17
47.5217
January 1, 2013
0
Very High Risk
5000
11037.44
0.1
53.9572
December 4, 2015
0
7.19 %
8.12 %
10.15 %
31.06 %
16.4 %
14.06 %
Amit Tripathi
B.Com (Hons),PGDM.
2003 - till date : RNAM : Fund Manager - Fixed Income (Managed various fixed income funds, both open ended and closed ended, across tenures and duration buckets. Active involvement in related activities of risk management, investment and valuation policy framework.) 1999 - 2003: The New India Assurance Co. Limited: Assistant Admin Officer - Investment Dept. (Part of the team managing fixed income and mutual fund investment portfolios.) 1998 - 1999 : Sun Invest Associates Limited : Analyst -Equity Market Operations 1997 - 1998: CFS Financial Services Pvt. Limited: Equity Research & Arbitrage Trading.t
Anju Chhajer
B.Com., Chartered Accountant
Prior to joining Reliance Mutual fund Ltd. as a fund manager , she has worked with National Insurance Company as a Money Maker Instruments and D.C Dharewa & Co.
Vikas Agrawal
B.Com. (Hons.), Chartered Accountant, MS (Finance) - ICFAI
Collectively over 16 years of experience in Fund Management, Fixed income dealing, Forex dealing and research September 21, 2007 till Date HDFC Asset Management Company Limited
Danesh Mistry
B.Com, Post Graduate Diploma in Business Administration
Prior to joining Tata AMC he was associated with HDFC Limited as Assistant Manager - Operations and ENAM Securities Limited as Anylyst in the Investment Banking Division.
Meeta Shetty
Bachelor in Economics and CFA Charterholder
From Mar 2017 till date with Tata Asset Management Pvt Ltd reporting to Chief Investment Officer - Equities. Earlier she was Research Analyst, tracking Pharma, Technology and Telecom sector. Reporting to the Chief Investment Officer - Equities. From Dec 2014 to Feb 2017 with Kotak Securities, tracking Pharma sector. Reporting to the Head of Research. From Jun 2013 to Nov 2014 with HDFC Securities, as Research Analyst, tracking Pharma sector. Reporting to Head of Research. From Sep 2011 to Jun 2013 with AMSEC (Asian Market Securities) as Research Analyst, tracking Pharma sector. Reporting to Head of Research. From May 2010 to Sep 2011 with Dalal & Broacha Stock Broking as Research Analyst, tracking Pharma sector. Reporting to Head of Research.
Pradeep Gokhale
C.A., B.Com.,
Mr. Gokhale is a B.com (H), CA and CFA Prior to joining Tata AMC in 2004 he has worked with Credit Analysis and Research Ltd.
Sailesh Jain
B.Com, MBA,
He is having 3 years of experience in Derivative Sales. He started his career with Refco - Sify Securities India Ltd.He worked also with Brics Securities Ltd.
Sonam Udasi
B.Com, PGDM-Finance
Prior to joining Tata AMC he was associated with ASK Raymond James (Jun 2005-Jan 2006) as Lead Analyst (Reporting to Head Research), JM Financial AMC (Feb 2006-June 2007) as Senior Analyst (Reporting to CIO), Prime Securities (Aug 2007-Oct 2008) as Head Research (Reporting to President), BRICS Securities (Nov 2008-Apr 2010) as Consumer Vertical (Reporting to Head Equities) and IDBI Capital Market Services Ltd (Jun 2010-March 2014) as Head Research (Reporting to Executive VP).