Nippon India Multi Asset Allocation Fund-Dir (G) vs SBI Short Term Debt Fund - Direct (G)

Nippon India Multi Asset Allocation Fund-Dir (G) vs SBI Short Term Debt Fund - Direct (G)

stock1

Nippon India Multi Asset Allocation Fund-Dir (G)

13.24%

stock2

SBI Short Term Debt Fund - Direct (G)

5.58%

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About Fund

Deutsche Bank AG

Karvy Computershare Pvt. Ltd.

Citi Bank HDFC Bank Ltd. Stock Holding Corporation of India

Computer Age Management Services Pvt. Ltd Computronics Financial Services India Ltd Datamatics Financial Software Services Ltd

Very High Risk

5000

16000.16

2

26.6078

August 7, 2020

0

Moderate Risk

5000

13965.77

0.62

36.3677

January 1, 2013

0

16.15 %

19.01 %

13.24 %

6.51 %

7.51 %

5.58 %

Vikram Dhawan

B.E. (Mech.), PGD - Materials Management

Mansi Sajeja

Post Graduate Diploma in Business Management, CFA

Mansi Sajeja Joined SBIFMPL in September 2009 as Credit Analyst. Prior to joining SBIFMPL, Mansi was Rating Analyst at ICRA Limited From March 2006 to September 2009.

Rajeev Radhakrishnan

B.E. (Production), MMS (Finance), Cleared Level 2 of the CFA exam conducted by CFA Institute, USA.

Total experience of 17 years in funds management. Around 8 years in Fixed Income funds management and dealing. Previously he was associated with UTI Asset Management Company Ltd. as Co - Fund Manager Past experiences: SBI Funds Management P. Ltd - (From June 09, 2008 onwards) Co- Fund Manager - UTI Asset Management Company Limited (June 2001-2008)

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