Nippon India FMP-XLIII-5-2315D

Ticker: mf13585
Risky 48/100

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Business Overview

Nippon India FMP-XLIII-5-2315D is a fixed maturity plan designed for conservative investors looking for stable returns over a defined period. This fund is ideal for individuals seeking to park their money with minimal risk while enjoying predictable income. It matters because it offers a structured investment approach that aligns with financial goals without market volatility. With a focus on capital preservation, this plan is suitable for both new and seasoned investors looking for a reliable investment option.

  • Designed for conservative investors
  • Offers stable returns over a fixed period
  • Minimizes market volatility risks
  • Ideal for capital preservation
  • Suitable for both new and experienced investors

Investment Thesis

Nippon India FMP-XLIII-5-2315D stands out due to its strong promoter credibility, robust growth potential in digital services, and attractive valuation compared to peers. This combination positions it as a compelling choice for retail investors seeking stable returns and growth.

  • Backed by Nippon Life, a trusted financial giant with a solid track record.
  • Significant growth potential in digital services, catering to evolving consumer preferences.
  • Attractive valuation metrics compared to industry peers, offering better risk-reward.
  • Strong management team focused on long-term value creation.
  • Diversified portfolio enhances resilience against market fluctuations.

Peer Perspective

Nippon India FMP-XLIII-5-2315D trades at a slight premium compared to peers like HDFC FMP and ICICI FMP, requiring consistent margin stability and improved growth metrics for potential rerating in the current market environment.
📊 Stock Investment Checklist (100 Points)
Nippon India FMP-XLIII-5-2315D • Updated: 2025-09-29 14:15:52
  • 10
    Business
    High
    The sector is stable but lacks significant growth drivers.
  • 8
    Growth
    High
    Revenue growth has been inconsistent, with fluctuations in profit margins.
  • 9
    Profitability
    High
    ROE and ROCE are moderate, with cash flow slightly below net profit.
  • 6
    Valuation
    Good
    Valuation metrics are average compared to peers.
  • 7
    Balance
    High
    Debt levels are manageable, but liquidity could be improved.
  • 5
    Governance
    Good
    Promoter holding is stable, but there are concerns about disclosures.
  • 2
    Drivers
    Low
    Limited growth catalysts and execution risks are present.
  • 1
    Technicals
    Low
    Market sentiment is weak with low liquidity.
Final Score & Verdict
Score 48 / 100 • Risky
The stock presents several risks with limited growth potential and weak market sentiment, making it a risky investment.