Index Fund fund benchmarked to Nifty 500 Equal Weight TRI. Every figure below is read from one dated snapshot; what the snapshot cannot prove is left out, never estimated.
Latest NAV2 Sep 2026
9.7767
Category
Index Fund
Plan
Regular · Growth
Launched
21 Aug 2024
Risk labelthe scheme's own riskometer
Very High
Legal benchmarkSEBI Tier-1
Nifty 500 Equal Weight TRI
Expense ratiodirect plan, a year · stated maximum, from the scheme document
1.11%
AUM
₹231 Cr
Growth of ₹10,000₹9,84311 Sep 2024 to 2 Sep 2026
Nippon India Nifty 500 Equal Weight Index Fund₹9,843 (-0.8% a year)
₹9,843 (-0.8% a year) Nippon India Nifty 500 Equal Weight Index Fund
Growth of ₹10,000 — every plotted observation
Point
Nippon India Nifty 500 Equal Weight Index Fund
11 Sep 2024
₹10,000
16 Sep 2024
₹10,156
23 Sep 2024
₹10,214
30 Sep 2024
₹10,151
7 Oct 2024
₹9,632
14 Oct 2024
₹9,961
21 Oct 2024
₹9,722
28 Oct 2024
₹9,315
4 Nov 2024
₹9,467
11 Nov 2024
₹9,429
18 Nov 2024
₹9,056
25 Nov 2024
₹9,314
2 Dec 2024
₹9,553
9 Dec 2024
₹9,803
16 Dec 2024
₹9,797
23 Dec 2024
₹9,393
30 Dec 2024
₹9,385
6 Jan 2025
₹9,325
13 Jan 2025
₹8,720
20 Jan 2025
₹9,101
27 Jan 2025
₹8,501
3 Feb 2025
₹8,682
10 Feb 2025
₹8,639
17 Feb 2025
₹8,105
24 Feb 2025
₹8,122
3 Mar 2025
₹7,758
10 Mar 2025
₹8,021
17 Mar 2025
₹7,950
24 Mar 2025
₹8,587
31 Mar 2025
₹8,410
7 Apr 2025
₹7,933
15 Apr 2025
₹8,472
21 Apr 2025
₹8,756
28 Apr 2025
₹8,703
5 May 2025
₹8,705
12 May 2025
₹8,811
19 May 2025
₹9,222
26 May 2025
₹9,271
2 Jun 2025
₹9,377
9 Jun 2025
₹9,635
16 Jun 2025
₹9,499
23 Jun 2025
₹9,367
30 Jun 2025
₹9,700
7 Jul 2025
₹9,668
14 Jul 2025
₹9,674
21 Jul 2025
₹9,732
28 Jul 2025
₹9,419
4 Aug 2025
₹9,392
11 Aug 2025
₹9,217
18 Aug 2025
₹9,360
25 Aug 2025
₹9,461
1 Sep 2025
₹9,328
8 Sep 2025
₹9,440
15 Sep 2025
₹9,607
22 Sep 2025
₹9,680
30 Sep 2025
₹9,335
6 Oct 2025
₹9,516
13 Oct 2025
₹9,514
20 Oct 2025
₹9,579
27 Oct 2025
₹9,643
3 Nov 2025
₹9,702
10 Nov 2025
₹9,523
17 Nov 2025
₹9,636
24 Nov 2025
₹9,376
1 Dec 2025
₹9,457
8 Dec 2025
₹9,161
15 Dec 2025
₹9,324
22 Dec 2025
₹9,374
29 Dec 2025
₹9,343
5 Jan 2026
₹9,533
12 Jan 2026
₹9,185
19 Jan 2026
₹9,113
27 Jan 2026
₹8,773
2 Feb 2026
₹8,865
9 Feb 2026
₹9,281
16 Feb 2026
₹9,143
23 Feb 2026
₹9,160
2 Mar 2026
₹8,926
9 Mar 2026
₹8,603
16 Mar 2026
₹8,429
23 Mar 2026
₹8,117
30 Mar 2026
₹8,075
6 Apr 2026
₹8,420
13 Apr 2026
₹8,884
20 Apr 2026
₹9,272
27 Apr 2026
₹9,397
4 May 2026
₹9,433
11 May 2026
₹9,544
18 May 2026
₹9,228
25 May 2026
₹9,466
1 Jun 2026
₹9,353
8 Jun 2026
₹9,263
15 Jun 2026
₹9,559
22 Jun 2026
₹9,811
29 Jun 2026
₹9,647
6 Jul 2026
₹9,844
13 Jul 2026
₹9,893
20 Jul 2026
₹9,839
27 Jul 2026
₹9,770
3 Aug 2026
₹9,991
10 Aug 2026
₹10,015
17 Aug 2026
₹9,976
24 Aug 2026
₹9,966
31 Aug 2026
₹9,939
2 Sep 2026
₹9,843
Performance (trailing, annualised)
1Y annualised
4.97%
Point-to-point from the fund's own published NAV; a period the history does not span is left out.
SIP returns
SIP 1Y (₹10,000 a month)invested ₹1,20,000 → worth ₹1,26,524
10.19%
₹10,000 on the first of every month, valued at the latest NAV, as an annualised rate (XIRR).
Calendar years
Calendar 2025
-0.08%
Rolling returns
Rolling 1Y · average50 windows since 15 Sep 2025
2.60%
Rolling 1Y · median
1.98%
Rolling 1Y · worst window
-8.04%
Rolling 1Y · best window
14.01%
Rolling 1Y · windows positive
70%
Every window of that length in the published history, so one lucky start date cannot flatter the fund.
Source: the OmniAsset signed reference snapshot, as of 4 Sep 2026. Figures are deterministic; missing data is withheld, never estimated. See methodology and data sources. Not investment advice.
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