Nippon India Short Duration Fund - Direct (G) logo

Nippon India Short Duration Fund Direct Growth

NAV ₹59.05 as on 17 Nov 2025

RiskModerate

Fund Size₹9,296.65Cr

NAV₹59.05 as on 17 Nov 2025
RiskModerate
Fund Size₹9,296.65Cr

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Investment Details
Top Rated Funds

Lock-in

No Lock-in

Min One Time Amount

₹100

Min Withdrawal Amount

₹-

Min SIP Amount

₹100

Min Additional Amount

₹100

Exit Load

Nil

Basic Details

Age

12 years 10 months (Since Jan 02, 2013)

Return since Launch

8.19%

Expense ratio

0.38%

Type

OPEN

AUM (Fund Size)

₹9,296.65

Risk Grade

Moderate

Benchmark

CRISIL Short Duration Debt A-II Index

Calculate Your Returns
Select Duration
Choose Amount
Returns
Total investment of ₹2,40,000
Would have become ₹61,949 (+209.74%)
Fund Manager

Name:

Sushil Budhia

Experience:

Over 22 years of experience across Debt Markets January 2019 - till date : NAM India: Senior Fund Manager March 2006 to January 2019 YES Bank Ltd.: Senior President Financial Markets. Handled Debt Capital Markets and prop trading book of the Bank. December 2002 to March 2006 Axis Bank (Erstwhile UTI Bank) : Manager, Merchant Banking. Handled Corporate Bond Desk of the Bank May 2001 to December 2002 UTI Mutual Fund (Erstwhile Unit Trust of India) : Dealer - Debt Market

Asset Allocation

Currently, data not available

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GSEC 8.33%

S I D B I 5.84%

GSEC 5.29%

REC Ltd 4.94%

I R F C 4.62%

N A B A R D 4.34%

Power Fin.Corpn. 4.24%

GSEC 4.10%

Muthoot Finance 3.18%

GSEC 2.53%

Shivshakti Securitisation Trust 2.45%

Aditya Birla Hsg 2.24%

Siddhivinayak Securitisation Trust 2.18%

Net CA & Others 2.13%

Axis Bank 2.05%

TREPS 1.90%

Poonawalla Fin 1.88%

Summit Digitel. 1.81%

Bharti Telecom 1.73%

E X I M Bank 1.65%

Indus Inf. Trust 1.65%

Tata Capital 1.63%

L&T Finance Ltd 1.61%

Can Fin Homes 1.53%

Truhome Finance 1.37%

GSEC 1.28%

360 One Prime 1.24%

JTPM Metal Trade 1.10%

Jubilant Beverag 1.08%

GSEC 1.08%

Citicorp Fin. (I 1.08%

Tata Chemicals 1.08%

GSEC 1.07%

Piramal Finance. 1.03%

GSEC 0.93%

GSEC 0.87%

Cholaman.Inv.&Fn 0.83%

Toyota Financial 0.82%

Samvardh. Mothe. 0.75%

GSEC 0.73%

GSEC 0.63%

T S I I C L 0.60%

Dhruva XXIII 0.58%

Mindspace Busine 0.55%

L&T Metro Rail 0.54%

Bajaj Finance 0.54%

GSEC 0.53%

GSEC 0.52%

E X I M Bank 0.52%

GSEC 0.50%

GSEC 0.44%

GSEC 0.44%

India Universal Trust 0.32%

GSEC 0.28%

GSEC 0.28%

Tata Cap.Hsg. 0.28%

Jio Credit 0.27%

Bajaj Housing 0.27%

ICICI Home Fin 0.27%

GSEC 0.27%

CDMDF (Class A2) 0.25%

Federal Bank 0.18%

KOTAK MAHI. INV. 0.17%

Aditya Birla Cap 0.11%

National Highway 0.11%

GSEC 0.10%

First Business Receivables Trust 0.09%

Sansar Trust 0.04%

GSEC 0.04%

Kotak Mahindra P 0.04%

GSEC 0.03%

India Infra Debt 0.01%

C C I 0.01%

Interest Rate Swaps Receive Floating -0.06%

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Scheme Holding Summary

Debt Others

69.41%

Govt. Securities

30.27%

OTHERS TRUSTEE PTC

0.32%

Derivatives - Index

-0.06%

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Govt. Securities

Debt Others

Small Industries Development Bank of India Ltd

5.84%

REC Ltd

4.94%

National Bank for Agriculture & Rural Development

4.34%

Aditya Birla Housing Finance Ltd

2.24%

Summit Digitel Infrastructure Ltd

1.81%

Bharti Telecom Ltd

1.73%

Export-Import Bank of India

1.65%

Truhome Finance Ltd

1.37%

360 One Prime Ltd

1.24%

JTPM Metal Traders Pvt Ltd

1.10%

Jubilant Beverages Ltd

1.08%

Citicorp Finance India Ltd

1.08%

Toyota Financial Services India Ltd

0.82%

Telangana State Industrial Infrastructure Corp.Ltd

0.60%

L&T Metro Rail (Hyderabad) Ltd

0.54%

Export-Import Bank of India

0.52%

Tata Capital Housing Finance Ltd

0.28%

Jio Credit Ltd

0.27%

ICICI Home Finance Company Ltd

0.27%

Kotak Mahindra Investments Ltd

0.17%

National Highways Authority of India

0.11%

Kotak Mahindra Prime Ltd

0.04%

India Infra Debt Ltd

0.01%

Clearing Corporation of India Ltd

0.01%

OTHERS TRUSTEE PTC

Derivatives - Index

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RiskometerLevel of risk in the scheme
Moderate
High
Low
Very
High

Your investment will be at Moderate Risk

Fund house & investment objective
Rank (total assets)#4 in India
Total AUM₹6,63,683.96Cr
Date of Incorporation24 Feb 1995
Nippon India Short Duration Fund Direct Growth is a Debt Mutual Fund Scheme launched by Nippon India Mutual Fund. This scheme was made available to investors on 02 Jan 2013. The fund currently has an Asset Under Management(AUM) of ₹6,63,683.96 Cr and the Latest NAV as of 17 Nov 2025 is ₹59.05.
The Nippon India Short Duration Fund Direct Growth is rated Moderate. Minimum SIP Investment is set to ₹100 . Minimum Lumpsum Investment is ₹100. Exit load of Nil.
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Returns and Rankings

Category: Debt Short Duration Fund

1Y3Y5YAll
Fund returns9.16%2.70%1.34%0.66%
Category average8.18%2.48%1.21%-
Rank within category225-

FAQ’s

What kind of returns does Nippon India Short Duration Fund Direct Growth provide?

Nippon India Short Duration Fund Direct Growth has given a return of 8.32% in the past 3 years.

What is the expense ratio charged by Nippon India Short Duration Fund Direct Growth?

The Expense Ratio charged by Nippon India Short Duration Fund Direct Growth is 0.38%.

What is the AUM size of Nippon India Short Duration Fund Direct Growth?

The AUM size of Nippon India Short Duration Fund Direct Growth is ₹9,296.65Cr.

What is the minimum SIP amount that you can invest in Nippon India Short Duration Fund Direct Growth?

₹100 is the minimum SIP amount that you can invest in Nippon India Short Duration Fund Direct Growth .

What are the top stock holdings of Nippon India Short Duration Fund Direct Growth?

The top stock holdings of Nippon India Short Duration Fund Direct Growth include

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start building your wealth journey

*By clicking, I agree to the T&C and Whatsapp updates.