Nippon India Corporate Bond Fund

Direct · Growth
₹66.46
19 Jun 2026
NAV
7.8%
3Y CAGR
7.7%
5Y CAGR
7.8%
10Y CAGR
7.8%
Weighted CAGR
?
9.43
Sharpe
-1.7%
Max Drawdown
?
NA
TER

If you invested ₹1,00,000 every month via SIP, here's how this fund has historically performed across different time horizons.

Duration Invested Median Value XIRR Min XIRR Max XIRR
1 Year₹12.00 L₹12.45 L7.9%2.0%12.5%
3 Years₹36.00 L₹40.30 L7.8%5.2%9.9%
5 Years₹60.00 L₹72.60 L7.5%6.3%8.8%
7 Years₹84.00 L₹1.08 Cr7.5%6.7%8.6%
10 Years₹1.20 Cr₹1.74 Cr7.4%7.0%7.8%
12 Years₹1.44 Cr₹2.30 Cr7.6%7.2%7.9%

SIP returns vs benchmark & category

Annualised SIP return (XIRR) over each rolling horizon — like-for-like, not lump-sum.

Duration Fund SIP XIRR Category avg
1 Year7.9%22.9%
3 Years7.8%7.6%
5 Years7.5%7.2%
7 Years7.5%7.3%
10 Years7.4%7.3%
12 Years7.6%7.7%

Duration Mean Median Min Max Sharpe Sortino % Positive Cat. Mean Cat. Median
1 Year8.0%8.4%3.4%11.1%0.882.06100%
3 Years7.8%8.0%5.6%10.0%1.308.61100%
5 Years7.7%7.5%6.6%9.0%1.79100%
10 Years7.8%7.8%7.3%8.1%9.43100%

-1.7%
Max Drawdown
1 mo
Drawdown Duration
0 mo
Recovery Time
-0.1%
Avg Drawdown

Calmar Ratio by Duration

4.71
1Y
4.61
3Y
4.54
5Y
4.57
7Y
4.58
10Y
4.69
12Y