Nippon Life India Asset Management Ltd
S&P BSE 500 TRI
Equity
18/05/2015
10.3 Years
5000000
AMC Charge : 2.50%
NA
1st Year : 3% 2nd Year : 2% 3rd Year : 1%
The Portfolio Manager aims to generate outsize returns over 3 -5 years, through a diversified Multicap portfolio out of top 20-25 most compelling investment ideas. The Portfolio may also have large allocation to cash and Money Market Instruments/funds as an investment tool.
Work Exp. NA
Email ID Gurbir.Chopra@nipponindiaim.com
Mobile No NA
Details NA
0.08
0.95