Nippon India Us Equity Opportunities Fund Direct-idcw

  • 3 Months
  • 6 Months
  • 1 Year
  • 3 Years
  • 5 Years
  • RSI
3 Months Returns : -5.31%
Fund NAV

Fund Overview of Nippon India Us Equity Opportunities Fund Direct-idcw

  • ₹705.9 Cr
    AUM
  • ₹40.36
    NAV
  • 1.26%
    Expense Ratio
  • Equity
    Fund Category
As on Thu Mar 12, 2026
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Returns of Nippon India Us Equity Opportunities Fund Direct-idcw

Tenure Absolute(%) Annualised(%) Category Average(%)
3 Months -5.31% NA 11.93%
6 Months -1.44% NA 10.64%
1 Year 8.44% 8.44% 23.58%
2 Years 19.99% 9.54% 22.45%
3 Years 76.50% 20.85% 18.12%
5 Years 66.16% 10.69% 11.61%
7 Years 163.53% 14.85% NA
10 Years 313.91% 15.26% 10.64%
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As on Thu Mar 12, 2026

Asset Allocation

equities

95.39%

debt instruments

0.03%

other assets or cash equivalents

4.58%
Large Cap: 98.28%
Mid Cap: 1.72%
Small Cap: 0.00%
Other: 0.00%
Top Holdings
Taiwan Semiconductor Manufacturing Co Ltd. (taiwan) Ads/adr (tsm)
9.54%
Alphabet Inc Forgn. Eq (googl)
8.31%
Alphabet Inc Forgn. Eq (googl)
8.51%
Alphabet Inc Forgn. Eq (googl)
8.51%
Taiwan Semiconductor Manufacturing Co Ltd. (taiwan) Ads/adr (tsm)
8.01%
 
Top Sectors
Technology
454.27%
Consumer Discretionary
174.80%
Healthcare
118.69%
Unspecified
49.23%
Financial
46.91%
Detailed Portfolio Analysis
As on Thu Mar 12, 2026
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About Fund

About Nippon India Us Equity Opportunities Fund Direct-idcw

Nippon India Us Equity Opportunities Fund Direct-idcw is one Equity mutual fund offered by Nippon India Mutual Fund. Launched on 23 Jul 2015, the fund aims long term capital growth. Investment in equity and equity related securities of companies listed on recognized stock exchanges in the US. It manages assets worth ₹705.9 crore as on Thu Jul 31, 2025. The expense ratio stands at 1.26%.
The portfolio allocation consists of 95.39% in equities, 0.03% in debt instruments, 4.58% in other assets or cash equivalents.Managed by Kinjal Desai, it has delivered a return of 8.44% in the last year, a total return since inception of 14.01%.
When shortlisting financial products many investors often look at which sip is best based on returns.

Read more
  • Kinjal Desai

    Fund Manager

  • Ms. Desai has done B.A (Economics), MSc. (Economics) and has cleared CFA Level 1

    Manager Education

Key Metrics of Nippon India Us Equity Opportunities Fund Direct-idcw

  • Standard Deviation
    15.48%
  • Sharpe Ratio
    0.81%

Fund Details

Fund Names Nippon India Us Equity Opportunities Fund Direct-idcw
Inception Date 23 Jul 2015
Lock In No Lock-in
SIP Minimum Investment amount ₹100
SWP Minimum Investment amount ₹500
STP Minimum Investment amount ₹100
 
Risk Principal at very high risk
Category Average Annual Returns 23.58
More Details

Start An Sip Today Watch Your Money Grow Start An Sip Today Watch Your Money Grow

Top Performing Mutual Funds

Fund Names AUM (Cr) 1M 3M 1Yr 3Yr 5Yr
Aditya Birla Sun Life Global Excellence Equity Fof Direct-growth trend ₹217 -1.95% 0.97% 22.30% 22.99% 15.13%
Aditya Birla Sun Life Global Excellence Equity Fof Regular-growth trend ₹217 -1.99% 0.82% 21.58% 22.25% 14.47%
Aditya Birla Sun Life International Equity Fund Direct-growth trend ₹229 -3.23% -0.38% 23.32% 16.90% 11.51%
ICICI Prudential Global Stable Equity Fund (fof) Direct-growth trend ₹86 -1.63% 3.85% 16.00% 14.00% 11.29%
ICICI Prudential Global Stable Equity Fund (fof)-growth trend ₹86 -1.70% 3.63% 15.20% 13.42% 10.87%
Aditya Birla Sun Life Global Emerging Opportunities Fund Direct-growth trend ₹250 -0.17% 0.76% 19.03% 16.58% 10.84%
Aditya Birla Sun Life International Equity Fund Regular-growth trend ₹229 -3.26% -0.50% 22.76% 16.24% 10.77%
Aditya Birla Sun Life Global Emerging Opportunities Fund Regular-growth trend ₹250 -0.21% 0.62% 18.39% 15.94% 10.27%
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increase growth is based on 1-month returns of the funds & Top fund are based on 3Y Returns

More funds from Nippon India Mutual Fund

Fund Names AUM (Cr) 1M 3M 6M 1Yr 3Yr
Nippon India Etf Hang Seng Bees-growth increase ₹948 -3.14% 0.36% 1.49% 16.69% 17.63%
Nippon India Us Equity Opportunities Fund-growth increase ₹706 -0.70% -5.57% -1.99% 7.23% 19.51%
Nippon India Us Equity Opportunities Fund Direct-growth increase ₹706 -0.62% -5.31% -1.44% 8.44% 20.85%
Nippon India Us Equity Opportunities Fund-idcw increase ₹706 -0.70% -5.57% -1.99% 7.23% 19.51%
Nippon India Taiwan Equity Fund Direct - Growth increase ₹351 14.70% 33.07% 47.64% 124.59% 49.44%
Nippon India Taiwan Equity Fund Regular - Growth increase ₹351 14.58% 32.62% 46.62% 121.49% 47.39%
Nippon India Taiwan Equity Fund Regular - Idcw increase ₹351 14.58% 32.62% 46.62% 121.49% 47.39%
Nippon India Taiwan Equity Fund Direct - Idcw increase ₹351 14.70% 33.07% 47.64% 124.59% 49.44%
Nippon India Japan Equity Fund Direct-growth increase ₹273 -4.85% 6.86% 10.33% 27.83% 18.72%
Nippon India Japan Equity Fund-growth increase ₹273 -4.94% 6.54% 9.67% 26.30% 17.28%
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increase growth is based on 1-month returns of the funds

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Top Mutual Funds

Top funds are based on Fund AUM

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Detailed Portfolio

Stocks Sector % of Holding Value
Taiwan Semiconductor Manufacturing Co Ltd. (taiwan) Ads/adr (tsm)Technology9.54%₹67.12 Cr
Alphabet Inc Forgn. Eq (googl)Technology8.31%₹62.06 Cr
Alphabet Inc Forgn. Eq (googl)Technology8.51%₹61.75 Cr
Alphabet Inc Forgn. Eq (googl)Technology8.51%₹61.75 Cr
Taiwan Semiconductor Manufacturing Co Ltd. (taiwan) Ads/adr (tsm)Technology8.01%₹59.85 Cr
Alphabet Inc Forgn. Eq (googl)Technology7.93%₹57.22 Cr
Alphabet Inc Forgn. Eq (googl)Technology8.06%₹56.65 Cr
Alphabet Inc Forgn. Eq (googl)Technology7.69%₹56.23 Cr
Facebook Co Forgn. Eq (fb)Technology7.68%₹54.23 Cr
Taiwan Semiconductor Manufacturing Co Ltd. (taiwan) Ads/adr (tsm)Technology7.36%₹53.83 Cr
Alphabet Inc Forgn. Eq (googl)Technology7.38%₹53.43 Cr
Alphabet Inc Forgn. Eq (googl)Technology7.38%₹53.43 Cr
Facebook Co Forgn. Eq (fb)Technology7.06%₹52.73 Cr
Taiwan Semiconductor Manufacturing Co Ltd. (taiwan) Ads/adr (tsm)Technology7.24%₹52.51 Cr
Taiwan Semiconductor Manufacturing Co Ltd. (taiwan) Ads/adr (tsm)Technology7.24%₹52.51 Cr
Facebook Co Forgn. Eq (fb)Technology7.21%₹52.22 Cr
Facebook Co Forgn. Eq (fb)Technology7.21%₹52.22 Cr
Amazon. Com Inc. (usa) Forgn. Eq (amzn)Consumer Discretionary6.90%₹51.55 Cr
Taiwan Semiconductor Manufacturing Co Ltd. (taiwan) Ads/adr (tsm)Technology7.12%₹51.37 Cr
Amazon. Com Inc. (usa) Forgn. Eq (amzn)Consumer Discretionary7.00%₹50.79 Cr
Amazon. Com Inc. (usa) Forgn. Eq (amzn)Consumer Discretionary7.00%₹50.79 Cr
RepoUnspecified7.09%₹50.08 Cr
Amazon. Com Inc. (usa) Forgn. Eq (amzn)Consumer Discretionary6.78%₹48.90 Cr
Taiwan Semiconductor Manufacturing Co Ltd. (taiwan) Ads/adr (tsm)Technology6.74%₹48.86 Cr
Taiwan Semiconductor Manufacturing Co Ltd. (taiwan) Ads/adr (tsm)Technology6.74%₹48.86 Cr
Amazon. Com Inc. (usa) Forgn. Eq (amzn)Consumer Discretionary6.65%₹48.65 Cr
Amazon. Com Inc. (usa) Forgn. Eq (amzn)Consumer Discretionary6.81%₹48.04 Cr
Facebook Co Forgn. Eq (fb)Technology6.50%₹47.53 Cr
Facebook Co Forgn. Eq (fb)Technology6.71%₹47.21 Cr
Facebook Co Forgn. Eq (fb)Technology6.43%₹46.42 Cr
Facebook Co Forgn. Eq (fb)Technology6.35%₹46.07 Cr
Facebook Co Forgn. Eq (fb)Technology6.35%₹46.07 Cr
Amazon. Com Inc. (usa) Forgn. Eq (amzn)Consumer Discretionary6.31%₹45.70 Cr
Amazon. Com Inc. (usa) Forgn. Eq (amzn)Consumer Discretionary6.31%₹45.70 Cr
Amazon. Com Inc. (usa) Forgn. Eq (amzn)Consumer Discretionary6.37%₹44.77 Cr
Microsoft Corportion (us) Forgn. Eq (msft)Technology6.24%₹44.06 Cr
Microsoft Corportion (us) Forgn. Eq (msft)Technology5.99%₹43.38 Cr
Microsoft Corportion (us) Forgn. Eq (msft)Technology5.99%₹43.38 Cr
Microsoft Corportion (us) Forgn. Eq (msft)Technology5.97%₹43.34 Cr
Microsoft Corportion (us) Forgn. Eq (msft)Technology5.97%₹43.34 Cr
RepoUnspecified5.95%₹43.06 Cr
RepoUnspecified5.95%₹43.06 Cr
Taiwan Semiconductor Manufacturing Co Ltd. (taiwan) Ads/adr (tsm)Technology5.90%₹41.68 Cr
Charles Schwab Corporation Forgn. Eq (schw)Financial5.58%₹41.66 Cr
Alphabet Inc Forgn. Eq (googl)Technology5.89%₹41.59 Cr
Microsoft Corportion (us) Forgn. Eq (msft)Technology5.75%₹41.52 Cr
Microsoft Corportion (us) Forgn. Eq (msft)Technology5.61%₹41.02 Cr
RepoUnspecified5.37%₹39.26 Cr
Charles Schwab Corporation Forgn. Eq (schw)Financial5.36%₹39.19 Cr
RepoUnspecified5.35%₹38.84 Cr
RepoUnspecified5.35%₹38.84 Cr
Booking Holdings Inc Forgn. Eq (bkng)Consumer Discretionary5.36%₹37.83 Cr
Booking Holdings Inc Forgn. Eq (bkng)Consumer Discretionary5.17%₹37.80 Cr
Charles Schwab Corporation Forgn. Eq (schw)Financial5.37%₹37.77 Cr
Booking Holdings Inc Forgn. Eq (bkng)Consumer Discretionary5.20%₹37.63 Cr
Booking Holdings Inc Forgn. Eq (bkng)Consumer Discretionary5.20%₹37.63 Cr
RepoUnspecified5.03%₹37.60 Cr
Charles Schwab Corporation Forgn. Eq (schw)Financial5.29%₹37.33 Cr
Microsoft Corportion (us) Forgn. Eq (msft)Technology4.99%₹37.30 Cr
Charles Schwab Corporation Forgn. Eq (schw)Financial5.11%₹36.98 Cr
Charles Schwab Corporation Forgn. Eq (schw)Financial5.11%₹36.98 Cr
Charles Schwab Corporation Forgn. Eq (schw)Financial5.04%₹36.58 Cr
Charles Schwab Corporation Forgn. Eq (schw)Financial5.04%₹36.58 Cr
Charles Schwab Corporation Forgn. Eq (schw)Financial5.01%₹36.19 Cr
Booking Holdings Inc Forgn. Eq (bkng)Consumer Discretionary4.83%₹36.08 Cr
Booking Holdings Inc Forgn. Eq (bkng)Consumer Discretionary4.87%₹35.37 Cr
Booking Holdings Inc Forgn. Eq (bkng)Consumer Discretionary4.87%₹35.37 Cr
Booking Holdings Inc Forgn. Eq (bkng)Consumer Discretionary4.78%₹34.51 Cr
Mastercard Inc Forgn. Eq (ma)Technology4.61%₹33.73 Cr
Iqvia Holdings Forgn. Eq (iqv)Healthcare4.51%₹33.71 Cr
Microsoft Corportion (us) Forgn. Eq (msft)Technology4.79%₹33.70 Cr
Mastercard Inc Forgn. Eq (ma)Technology4.58%₹33.19 Cr
Mastercard Inc Forgn. Eq (ma)Technology4.58%₹33.19 Cr
RepoUnspecified4.69%₹32.99 Cr
Iqvia Holdings Forgn. Eq (iqv)Healthcare4.54%₹32.80 Cr
Mastercard Inc Forgn. Eq (ma)Technology4.62%₹32.59 Cr
Mastercard Inc Forgn. Eq (ma)Technology4.35%₹32.54 Cr
Mastercard Inc Forgn. Eq (ma)Technology4.48%₹32.36 Cr
Iqvia Holdings Forgn. Eq (iqv)Healthcare4.42%₹32.31 Cr
Mastercard Inc Forgn. Eq (ma)Technology4.44%₹32.18 Cr
Mastercard Inc Forgn. Eq (ma)Technology4.44%₹32.18 Cr
RepoUnspecified4.44%₹32.07 Cr
Mastercard Inc Forgn. Eq (ma)Technology4.40%₹30.91 Cr
Iqvia Holdings Forgn. Eq (iqv)Healthcare4.22%₹30.61 Cr
Iqvia Holdings Forgn. Eq (iqv)Healthcare4.22%₹30.61 Cr
Booking Holdings Inc Forgn. Eq (bkng)Consumer Discretionary4.30%₹30.27 Cr
Amerisource Bergen Corp Forgn. Eq (abc)Healthcare4.21%₹29.64 Cr
Visa Inc Forgn. Eq (v)Technology4.05%₹29.63 Cr
Amerisource Bergen Corp Forgn. Eq (abc)Healthcare3.87%₹28.91 Cr
Amerisource Bergen Corp Forgn. Eq (abc)Healthcare4.00%₹28.90 Cr
Visa Inc Forgn. Eq (v)Technology3.93%₹28.48 Cr
Visa Inc Forgn. Eq (v)Technology3.93%₹28.48 Cr
Visa Inc Forgn. Eq (v)Technology4.03%₹28.42 Cr
Visa Inc Forgn. Eq (v)Technology3.91%₹28.41 Cr
Visa Inc Forgn. Eq (v)Technology3.91%₹28.41 Cr
Visa Inc Forgn. Eq (v)Technology3.89%₹28.11 Cr
Visa Inc Forgn. Eq (v)Technology3.72%₹27.79 Cr
Applied Materials Inc. (usa) Forgn. Eq (amat)Technology3.91%₹27.51 Cr
Visa Inc Forgn. Eq (v)Technology3.89%₹27.36 Cr
The Walt Disney Company Forgn. Eq (dis)Consumer Discretionary3.82%₹26.94 Cr
Iqvia Holdings Forgn. Eq (iqv)Healthcare3.71%₹26.88 Cr
Iqvia Holdings Forgn. Eq (iqv)Healthcare3.71%₹26.88 Cr
The Walt Disney Company Forgn. Eq (dis)Consumer Discretionary3.58%₹26.78 Cr
Amerisource Bergen Corp Forgn. Eq (abc)Healthcare3.64%₹26.60 Cr
The Walt Disney Company Forgn. Eq (dis)Consumer Discretionary3.61%₹26.43 Cr
The Walt Disney Company Forgn. Eq (dis)Consumer Discretionary3.63%₹26.26 Cr
The Walt Disney Company Forgn. Eq (dis)Consumer Discretionary3.63%₹26.26 Cr
Amerisource Bergen Corp Forgn. Eq (abc)Healthcare3.62%₹26.25 Cr
Amerisource Bergen Corp Forgn. Eq (abc)Healthcare3.62%₹26.25 Cr
Iqvia Holdings Forgn. Eq (iqv)Healthcare3.67%₹25.94 Cr
Iqvia Holdings Forgn. Eq (iqv)Healthcare3.69%₹25.92 Cr
The Walt Disney Company Forgn. Eq (dis)Consumer Discretionary3.56%₹25.81 Cr
The Walt Disney Company Forgn. Eq (dis)Consumer Discretionary3.56%₹25.81 Cr
The Walt Disney Company Forgn. Eq (dis)Consumer Discretionary3.54%₹24.92 Cr
Amerisource Bergen Corp Forgn. Eq (abc)Healthcare3.35%₹24.30 Cr
Amerisource Bergen Corp Forgn. Eq (abc)Healthcare3.35%₹24.30 Cr
The Walt Disney Company Forgn. Eq (dis)Consumer Discretionary3.35%₹24.14 Cr
Applied Materials Inc. (usa) Forgn. Eq (amat)Technology3.22%₹24.06 Cr
Check Point Software Technologies Ltd. (usa) Forgn. Eq (chkp)Technology3.24%₹23.50 Cr
Check Point Software Technologies Ltd. (usa) Forgn. Eq (chkp)Technology3.24%₹23.50 Cr
Anthem Inc Forgn. Eq (antm)Healthcare3.01%₹22.47 Cr
Anthem Inc Forgn. Eq (antm)Healthcare3.05%₹22.29 Cr
Check Point Software Technologies Ltd. (usa) Forgn. Eq (chkp)Technology3.06%₹22.21 Cr
Check Point Software Technologies Ltd. (usa) Forgn. Eq (chkp)Technology3.06%₹22.21 Cr
Amerisource Bergen Corp Forgn. Eq (abc)Healthcare3.11%₹21.93 Cr
Anthem Inc Forgn. Eq (antm)Healthcare2.96%₹21.40 Cr
Starbucks Corporation (usa) Forgn. Eq (sbux)Consumer Discretionary3.04%₹21.38 Cr
Check Point Software Technologies Ltd. (usa) Forgn. Eq (chkp)Technology2.96%₹21.37 Cr
Check Point Software Technologies Ltd. (usa) Forgn. Eq (chkp)Technology2.92%₹21.34 Cr
Check Point Software Technologies Ltd. (usa) Forgn. Eq (chkp)Technology2.82%₹21.10 Cr
Check Point Software Technologies Ltd. (usa) Forgn. Eq (chkp)Technology2.95%₹20.85 Cr
Anthem Inc Forgn. Eq (antm)Healthcare2.93%₹20.58 Cr
Anthem Inc Forgn. Eq (antm)Healthcare2.80%₹20.29 Cr
Anthem Inc Forgn. Eq (antm)Healthcare2.80%₹20.29 Cr
Starbucks Corporation (usa) Forgn. Eq (sbux)Consumer Discretionary2.71%₹20.27 Cr
Anthem Inc Forgn. Eq (antm)Healthcare2.74%₹19.90 Cr
Anthem Inc Forgn. Eq (antm)Healthcare2.74%₹19.90 Cr
Applied Materials Inc. (usa) Forgn. Eq (amat)Technology2.57%₹18.77 Cr
Autodesk Inc. (usa) Forgn. Eq (adsk)Technology2.59%₹18.75 Cr
Autodesk Inc. (usa) Forgn. Eq (adsk)Technology2.59%₹18.75 Cr
Starbucks Corporation (usa) Forgn. Eq (sbux)Consumer Discretionary2.65%₹18.72 Cr
Starbucks Corporation (usa) Forgn. Eq (sbux)Consumer Discretionary2.59%₹18.69 Cr
Applied Materials Inc. (usa) Forgn. Eq (amat)Technology2.54%₹18.33 Cr
Starbucks Corporation (usa) Forgn. Eq (sbux)Consumer Discretionary2.48%₹18.16 Cr
Salesforce Com Forgn. Eq (crm)Technology2.47%₹18.10 Cr
Autodesk Inc. (usa) Forgn. Eq (adsk)Technology2.50%₹18.04 Cr
Starbucks Corporation (usa) Forgn. Eq (sbux)Consumer Discretionary2.49%₹18.02 Cr
Starbucks Corporation (usa) Forgn. Eq (sbux)Consumer Discretionary2.49%₹18.02 Cr
Autodesk Inc. (usa) Forgn. Eq (adsk)Technology2.45%₹17.78 Cr
Autodesk Inc. (usa) Forgn. Eq (adsk)Technology2.45%₹17.78 Cr
Autodesk Inc. (usa) Forgn. Eq (adsk)Technology2.42%₹17.70 Cr
Check Point Software Technologies Ltd. (usa) Forgn. Eq (chkp)Technology2.52%₹17.69 Cr
Qualcomm Inc. (usa) Forgn. Eq (qcom)Technology2.44%₹17.69 Cr
Qualcomm Inc. (usa) Forgn. Eq (qcom)Technology2.44%₹17.69 Cr
Autodesk Inc. (usa) Forgn. Eq (adsk)Technology2.50%₹17.65 Cr
Salesforce Com Forgn. Eq (crm)Technology2.42%₹17.55 Cr
Salesforce Com Forgn. Eq (crm)Technology2.42%₹17.55 Cr
Anthem Inc Forgn. Eq (antm)Healthcare2.48%₹17.53 Cr
Starbucks Corporation (usa) Forgn. Eq (sbux)Consumer Discretionary2.37%₹17.21 Cr
Starbucks Corporation (usa) Forgn. Eq (sbux)Consumer Discretionary2.37%₹17.21 Cr
Salesforce Com Forgn. Eq (crm)Technology2.43%₹17.19 Cr
Qualcomm Inc. (usa) Forgn. Eq (qcom)Technology2.32%₹16.95 Cr
Applied Materials Inc. (usa) Forgn. Eq (amat)Technology2.32%₹16.80 Cr
Applied Materials Inc. (usa) Forgn. Eq (amat)Technology2.32%₹16.80 Cr
Qualcomm Inc. (usa) Forgn. Eq (qcom)Technology2.30%₹16.57 Cr
Diageo Plc Ads/adr (deo)Consumer Staples2.34%₹16.49 Cr
Diageo Plc Ads/adr (deo)Consumer Staples2.19%₹16.39 Cr
Diageo Plc Ads/adr (deo)Consumer Staples2.25%₹16.29 Cr
Diageo Plc Ads/adr (deo)Consumer Staples2.25%₹16.29 Cr
Qualcomm Inc. (usa) Forgn. Eq (qcom)Technology2.25%₹16.28 Cr
Qualcomm Inc. (usa) Forgn. Eq (qcom)Technology2.25%₹16.28 Cr
Salesforce Com Forgn. Eq (crm)Technology2.21%₹15.99 Cr
Salesforce Com Forgn. Eq (crm)Technology2.21%₹15.99 Cr
Adobe Systems Inc. (usa) Forgn. Eq (adbe)Technology2.19%₹15.98 Cr
Adobe Systems Inc. (usa) Forgn. Eq (adbe)Technology2.20%₹15.91 Cr
Adobe Systems Inc. (usa) Forgn. Eq (adbe)Technology2.20%₹15.91 Cr
Adobe Systems Inc. (usa) Forgn. Eq (adbe)Technology2.25%₹15.91 Cr
Diageo Plc Ads/adr (deo)Consumer Staples2.18%₹15.75 Cr
Diageo Plc Ads/adr (deo)Consumer Staples2.16%₹15.71 Cr
Diageo Plc Ads/adr (deo)Consumer Staples2.16%₹15.71 Cr
Salesforce Com Forgn. Eq (crm)Technology2.17%₹15.67 Cr
Diageo Plc Ads/adr (deo)Consumer Staples2.23%₹15.65 Cr
Autodesk Inc. (usa) Forgn. Eq (adsk)Technology2.07%₹15.45 Cr
Qualcomm Inc. (usa) Forgn. Eq (qcom)Technology2.05%₹15.35 Cr
Adobe Systems Inc. (usa) Forgn. Eq (adbe)Technology2.11%₹15.34 Cr
Adobe Systems Inc. (usa) Forgn. Eq (adbe)Technology2.11%₹15.34 Cr
Diageo Plc Ads/adr (deo)Consumer Staples2.04%₹14.91 Cr
Autodesk Inc. (usa) Forgn. Eq (adsk)Technology2.11%₹14.87 Cr
Carmax Inc Forgn. Eq (kmx)Consumer Discretionary2.10%₹14.83 Cr
Salesforce Com Forgn. Eq (crm)Technology1.98%₹14.82 Cr
Applied Materials Inc. (usa) Forgn. Eq (amat)Technology2.04%₹14.77 Cr
Applied Materials Inc. (usa) Forgn. Eq (amat)Technology2.04%₹14.77 Cr
Adobe Systems Inc. (usa) Forgn. Eq (adbe)Technology2.02%₹14.55 Cr
Air Products And Chemicals Inc. Forgn. Eq (apd)Materials2.03%₹14.31 Cr
Qualcomm Inc. (usa) Forgn. Eq (qcom)Technology2.03%₹14.27 Cr
Air Products And Chemicals Inc. Forgn. Eq (apd)Materials2.02%₹14.24 Cr
Air Products And Chemicals Inc. Forgn. Eq (apd)Materials1.90%₹14.22 Cr
Qualcomm Inc. (usa) Forgn. Eq (qcom)Technology2.01%₹14.16 Cr
Air Products And Chemicals Inc. Forgn. Eq (apd)Materials1.90%₹13.75 Cr
Air Products And Chemicals Inc. Forgn. Eq (apd)Materials1.90%₹13.75 Cr
Adobe Systems Inc. (usa) Forgn. Eq (adbe)Technology1.83%₹13.69 Cr
Salesforce Com Forgn. Eq (crm)Technology1.91%₹13.46 Cr
Air Products And Chemicals Inc. Forgn. Eq (apd)Materials1.84%₹13.26 Cr
Applied Materials Inc. (usa) Forgn. Eq (amat)Technology1.81%₹12.81 Cr
Air Products And Chemicals Inc. Forgn. Eq (apd)Materials1.72%₹12.61 Cr
Veeva Systems inc. Forgn. Eq (veev)Healthcare1.70%₹12.28 Cr
Veeva Systems inc. Forgn. Eq (veev)Healthcare1.70%₹12.28 Cr
Carmax Inc Forgn. Eq (kmx)Consumer Discretionary1.64%₹12.25 Cr
Air Products And Chemicals Inc. Forgn. Eq (apd)Materials1.68%₹12.22 Cr
Air Products And Chemicals Inc. Forgn. Eq (apd)Materials1.68%₹12.22 Cr
Adobe Systems Inc. (usa) Forgn. Eq (adbe)Technology1.72%₹12.12 Cr
Veeva Systems inc. Forgn. Eq (veev)Healthcare1.65%₹12.00 Cr
Veeva Systems inc. Forgn. Eq (veev)Healthcare1.65%₹12.00 Cr
Carmax Inc Forgn. Eq (kmx)Consumer Discretionary1.65%₹11.92 Cr
Carmax Inc Forgn. Eq (kmx)Consumer Discretionary1.65%₹11.92 Cr
Carmax Inc Forgn. Eq (kmx)Consumer Discretionary1.67%₹11.75 Cr
Veeva Systems inc. Forgn. Eq (veev)Healthcare1.64%₹11.55 Cr
Ecolab Inc Forgn. Eq (ecl)Materials1.61%₹11.32 Cr
Carmax Inc Forgn. Eq (kmx)Consumer Discretionary1.53%₹11.13 Cr
Carmax Inc Forgn. Eq (kmx)Consumer Discretionary1.53%₹11.13 Cr
Ecolab Inc Forgn. Eq (ecl)Materials1.40%₹10.46 Cr
Carmax Inc Forgn. Eq (kmx)Consumer Discretionary1.42%₹10.40 Cr
Net Current AssetsUnspecified1.46%₹10.38 Cr
Carmax Inc Forgn. Eq (kmx)Consumer Discretionary1.43%₹10.35 Cr
Veeva Systems inc. Forgn. Eq (veev)Healthcare1.38%₹9.98 Cr
Ecolab Inc Forgn. Eq (ecl)Materials1.38%₹9.94 Cr
Ecolab Inc Forgn. Eq (ecl)Materials1.36%₹9.82 Cr
Ecolab Inc Forgn. Eq (ecl)Materials1.36%₹9.82 Cr
Ecolab Inc Forgn. Eq (ecl)Materials1.30%₹9.53 Cr
Veeva Systems inc. Forgn. Eq (veev)Healthcare1.27%₹9.32 Cr
Ecolab Inc Forgn. Eq (ecl)Materials1.31%₹9.25 Cr
Fiserv Inc. (usa) Forgn. Eq (fisv)Industrials1.31%₹9.24 Cr
Ecolab Inc Forgn. Eq (ecl)Materials1.27%₹9.18 Cr
Ecolab Inc Forgn. Eq (ecl)Materials1.27%₹9.18 Cr
United Health Group Inc. Forgn. Eq (unh)Healthcare1.25%₹9.08 Cr
United Health Group Inc. Forgn. Eq (unh)Healthcare1.25%₹9.08 Cr
United Health Group Inc. Forgn. Eq (unh)Healthcare1.24%₹8.98 Cr
United Health Group Inc. Forgn. Eq (unh)Healthcare1.24%₹8.98 Cr
United Health Group Inc. Forgn. Eq (unh)Healthcare1.20%₹8.79 Cr
United Health Group Inc. Forgn. Eq (unh)Healthcare1.21%₹8.74 Cr
Veeva Systems inc. Forgn. Eq (veev)Healthcare1.16%₹8.70 Cr
Fiserv Inc. (usa) Forgn. Eq (fisv)Industrials1.20%₹8.69 Cr
Fiserv Inc. (usa) Forgn. Eq (fisv)Industrials1.20%₹8.69 Cr
United Health Group Inc. Forgn. Eq (unh)Healthcare1.12%₹7.90 Cr
United Health Group Inc. Forgn. Eq (unh)Healthcare1.05%₹7.81 Cr
Veeva Systems inc. Forgn. Eq (veev)Healthcare1.09%₹7.69 Cr
United Health Group Inc. Forgn. Eq (unh)Healthcare0.92%₹6.47 Cr
Fiserv Inc. (usa) Forgn. Eq (fisv)Industrials0.63%₹4.59 Cr
Fiserv Inc. (usa) Forgn. Eq (fisv)Industrials0.62%₹4.49 Cr
Fiserv Inc. (usa) Forgn. Eq (fisv)Industrials0.62%₹4.49 Cr
Fiserv Inc. (usa) Forgn. Eq (fisv)Industrials0.60%₹4.45 Cr
Fiserv Inc. (usa) Forgn. Eq (fisv)Industrials0.61%₹4.30 Cr
Fiserv Inc. (usa) Forgn. Eq (fisv)Industrials0.58%₹4.18 Cr
Others Mrgn MoneyUnspecified0.04%₹0.32 Cr
Others Mrgn MoneyUnspecified0.03%₹0.25 Cr
Others Mrgn MoneyUnspecified0.03%₹0.25 Cr
Others Mrgn MoneyUnspecified0.03%₹0.25 Cr
Others Mrgn MoneyUnspecified0.03%₹0.25 Cr
Others Mrgn MoneyUnspecified0.03%₹0.24 Cr
Others Mrgn MoneyUnspecified0.03%₹0.21 Cr
Others Mrgn MoneyUnspecified0.01%₹0.06 Cr
Others Mrgn MoneyUnspecified0.00%₹0.03 Cr
Net PayablesUnspecified-0.07%₹-0.61 Cr
Net PayablesUnspecified-0.11%₹-0.95 Cr
Net PayablesUnspecified-0.17%₹-1.31 Cr
Net PayablesUnspecified-0.17%₹-1.31 Cr
Net PayablesUnspecified-0.25%₹-1.61 Cr
Net PayablesUnspecified-0.25%₹-1.61 Cr
Net PayablesUnspecified-0.28%₹-1.98 Cr
Net PayablesUnspecified-0.38%₹-2.98 Cr
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Frequently Asked Questions

Nippon India Us Equity Opportunities Fund Direct-idcw

What is the current AUM of Nippon India Us Equity Opportunities Fund Direct-idcw?

As of Thu Jul 31, 2025, Nippon India Us Equity Opportunities Fund Direct-idcw manages assets worth ₹705.9 crore

What is the long-term performance of Nippon India Us Equity Opportunities Fund Direct-idcw?

  • 3 Years CAGR: 20.85%
  • 5 Years CAGR: 10.69%
  • Since Inception: 14.01%

What is the portfolio composition of Nippon India Us Equity Opportunities Fund Direct-idcw?

Equity: 95.39%, Debt: 0.03%, Others: 4.58%.

Who manages Nippon India Us Equity Opportunities Fund Direct-idcw?

Nippon India Us Equity Opportunities Fund Direct-idcw is managed by Kinjal Desai from Nippon India Mutual Fund.

What is the market-cap allocation of Nippon India Us Equity Opportunities Fund Direct-idcw?

Large Cap: 98.28%, Mid Cap: 1.72%.

Which are the top companies Nippon India Us Equity Opportunities Fund Direct-idcw has invested in?

  • Taiwan Semiconductor Manufacturing Co Ltd. (Taiwan) ADS/ADR (TSM) – 9.54% of the fund's portfolio
  • Alphabet Inc Forgn. Eq (GOOGL) – 8.31% of the fund's portfolio
  • Alphabet Inc Forgn. Eq (GOOGL) – 8.51% of the fund's portfolio
  • Alphabet Inc Forgn. Eq (GOOGL) – 8.51% of the fund's portfolio
  • Taiwan Semiconductor Manufacturing Co Ltd. (Taiwan) ADS/ADR (TSM) – 8.01% of the fund's portfolio

Which are the major sectors Nippon India Us Equity Opportunities Fund Direct-idcw focuses on?

  • Technology – 454.27% of the fund's portfolio
  • Consumer Discretionary – 174.80% of the fund's portfolio
  • Healthcare – 118.69% of the fund's portfolio
  • Unspecified – 49.23% of the fund's portfolio
  • Financial – 46.91% of the fund's portfolio
View more FAQ's

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Past performance may not be indicative of future results.

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Policybazaar is a registered Insurance Broker | Registration No. 742, Registration Code No. IRDA/ DB 797/ 19, Valid till 09/06/2024, License category- Direct Broker (Life & General) |CIN: U74999HR2014PTC053454 | Registered Office - Plot No.119, Sector - 44, Gurgaon, Haryana – 122001 |Visitors are hereby informed that their information submitted on the website may be shared with insurers. Product information is authentic and solely based on the information received from the insurers.©️ Copyright 2008-2025 policybazaar.com. All Rights Reserved

^Returns as on 10th Jan’25. Tata AIA Life Top 200 ULIP Fund has delivered 18% returns over the last 10 years. Past performance is not necessarily indicative of future results. This disclaimer is specifically regarding a ULIP fund and is not related to mutual funds. Source: Morningstar.

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