SENSEX
78,553.20
1,508.91 (+1.96%)
BANKNIFTY
54,290.20
1,172.45 (+2.21%)
Service
Back Office
Markets
Equity
Derivative
Mutual Fund
IPO
More
Margin Calculators
Knowledge Center
Careers
Downloads
Supports
Contact
Mail
Re-KYC
Apply IPO
Open Account
Online Trading
Service
Back Office
Markets
Equity
Derivative
Mutual Fund
IPO
More
Margin Calculators
Knowledge Center
Careers
Downloads
Supports
Contact
Mail
Re-KYC
Apply IPO
Open Account
Online Trading
BACK
Fund Profile
Nippon India Taiwan Equity Fund (G)
Summary Info
Fund Name
Nippon India Mutual Fund
Scheme Name
Nippon India Taiwan Equity Fund (G)
AMC
Nippon India Mutual Fund
Type
Open
Category
Sectoral / Thematic
Launch Date
22-Nov-21
Fund Manager
Kinjal Desai
Net Assets (
)
275.04
NAV Graph
One Month
Three Month
Six Month
One Year
Three Year
Five Year
Latest Payouts
Dividends
Bonus
No payout data available.
Performance
(%)
1 Week
[%]
1 Month
[%]
3 Month
[%]
6 Month
[%]
1 Year
[%]
3 Year
[%]
5 Year
[%]
Since
INC[%]
Scheme Return
18.49
-15.13
-21.91
-22.64
-12.14
1.82
0.00
-3.01
Holdings
Company Name
Hold %
TREPS
6.58
C C I
0.00
Net CA & Others
-0.69
Taiwan Semiconductor Manufacturing Co Ltd
8.10
eMemory Technology Inc
7.46
MongoDB Inc
7.09
Hon Hai Precision Industry Co Ltd
5.78
Chroma Ate
5.71
Jentech Precision Industrial Co Ltd
5.23
Bizlink Holding Inc
4.86
Mpi Corporation
4.32
Quanta Computer Inc.
4.12
Formosa Laboratories Inc
3.22
King Yuan Electronics Co Ltd
2.96
Accton Technology Corporation
2.78
Dynapack International Technology Corporation
2.60
Eva Airways Corporation
2.56
MediaTek Incorporation
2.54
Asia Vital Components Co Ltd
2.22
Wiwynn Corporation
2.22
PixArt Imaging Inc
2.12
Aspeed Technology Inc
2.09
Symtek Automation Asia Co. Ltd
2.05
Visual Photonics Epitaxy Co Ltd
1.91
Asustek Computer Inc
1.91
LandMark Optoelectronics Corporation
1.77
Advanced Energy Solution Holding Co Ltd
1.65
Elite Material Co Ltd
1.62
Compeq Manufacturing Co Ltd
1.16
MITAC Holdings Corporation
1.13
Chenbro Micom Co Ltd
0.83
Micro-Star International Co Ltd
0.81
Elite Advanced Laser Corp
0.73
Hiwin Technologies Corp
0.52