50
InternationalHold
Nippon India US Equity Opportunities
Nippon India · Direct–Growth · rank #2 of 5 by Smart Score
Data updated
Trailing returns
1 Year
15.2%
+17.3% vs index
3 Years
19.1%
+9.3% vs index
5 Years
12.2%
+2.7% vs index
Since launch
15.3%
Year-by-year performance
2021
+23.8%-6.8% vs index
2022
-18.1%-21.9% vs index
2023
+33.9%+7.4% vs index
2024
+22.6%+7.0% vs index
2025
+13.3%+5.7% vs index
2026
+11.8%+15.5% vs index
Why this score
Nippon India US Equity Opportunities scores 50/100 — #2 of 5 International fund (Hold). It stands out for alpha and volatility — beating 90% of peers on alpha. The main drag is its 3y return (better than only 30% of peers).
Each bar shows the fund's percentile vs International peers — a longer bar beats more of the category.
3Y return19.15% · 30th percentile in category
Alpha11.77 · 90th percentile in category
Sharpe ratio1.00 · 30th percentile in category
1Y return15.19% · 10th percentile in category
Volatility14.00 · 70th percentile in category
Expense ratio1.31% · 70th percentile in category