Sbi Nifty Index Fund Overview
Category Index Fund
BMSMONEY Rank 37
Rating
Growth Option 07-03-2025
NAV ₹198.3(R) +0.03% ₹207.84(D) +0.03%
Returns 1Y 3Y 5Y 7Y 10Y
Lumpsum Regular 0.96% 13.17% 17.15% 12.59% 10.39%
Direct 1.24% 13.51% 17.53% 12.99% 10.83%
Benchmark
SIP (XIRR) Regular -8.55% 9.35% 12.89% 12.39% 12.33%
Direct -8.3% 9.69% 13.26% 12.76% 12.73%
Ratio Sharpe Ratio Sortino Ratio Sterling Ratio Jensen's Alpha Treynor Ratio
0.28 0.16 0.45 -% -
Risk STD. Dev VaR 1Y95% Max DD Beta Semi Devi.
13.24% -17.39% -14.12% - 9.15%

NAV Date: 07-03-2025

Scheme Name NAV Rupee Change Percent Change
SBI Nifty Index Fund - Regular Plan - Income Distribution cum Capital Withdrawal Option (IDCW) 101.74
0.0400
0.0300%
SBI Nifty Index Fund - Direct Plan - Income Distribution cum Capital Withdrawal Option (IDCW) 106.75
0.0400
0.0400%
SBI NIFTY INDEX FUND - REGULAR PLAN - GROWTH 198.3
0.0700
0.0300%
SBI NIFTY INDEX FUND - DIRECT PLAN - GROWTH 207.84
0.0700
0.0300%

Review Date: 07-03-2025


−0.442.76−7.3−15.29−15.080.010.110.471.583.530.045.39−8.98−20.85−18.29−0.011.53−4.52−8.82−8.910.020.130.521.633.460.010.130.551.633.73−0.052.42−4.55−10−11.520.031.91−4.24−8.25−9.35−0.270.29−3.37−9.32−5.5−0.851.33−11.96−15.41−9.27−0.444.8−5.81−17.63−19.810.055.4−8.94−20.77−18.400.160.611.723.50.010.170.651.813.61−0.052.42−4.53−9.95−11.420.031.92−4.26−8.31−9.530.614.61−9.55−25.37−24.93−0.851.33−11.95−15.39−9.220.685.44−8.98−20.73−19.790.012.94−5.72−12.62−13.330.061.35−5.66−7.51−12.99−0.821.87−9.94−22.92−24.170.031.92−4.26−8.37−9.51−0.12.7−4.07−7.06−11.940.013.9−6.59−15.12−16.210.020.140.631.783.70.154.49−8.71−24.18−23.120.031.93−4.23−8.25−9.36−0.444.87−5.73−17.7−19.860.010.10.491.563.37−0.471.43−4.17−4.13−5.87−0.032.19−7.1−11.05−16.290.031.92−4.26−8.3−9.47−0.172.48−7.28−14.22−19.24−0.162.71−6.09−12.96−13.48−0.882.11−10.4−23.16−19.64−0.444.86−5.8−17.63−19.880.030.120.51.583.470.685.45−8.95−20.71−19.780.031.91−4.25−8.27−9.34−0.592.23−5.57−11.06−17.180.685.45−9−20.8−19.890.012.93−5.72−12.61−13.31−0.012.86−5.48−12.17−13.28−0.011.54−4.49−8.77−8.75−0.133.82−4.74−11.39−15.41−0.052.42−4.53−9.97−11.49−0.444.87−5.77−17.81−19.95−0.12.71−4.06−7.04−11.91−0.283.03−7.71−15.98−15.620.685.46−8.95−20.74−19.820.030.140.631.723.680.031.93−4.24−8.26−9.4−0.444.87−5.78−17.73−19.910.031.93−4.24−8.26−9.38−0.011.54−4.48−8.74−8.710.242.48−10.49−11.82−17.91−0.270.3−3.35−9.38−5.53−0.162.71−6.08−12.96−13.5−0.283.02−7.69−15.98−15.67−0.222.83−7.72−8.61−11.70.010.140.491.633.720.685.44−8.91−20.7−19.82−0.12.71−4.05−7.1−12.0200.140.391.543.55−0.444.87−5.77−17.8−19.970.061.34−5.67−7.5−12.97−0.613.51−7.4−16.95−16.7−0.326.78−3.54−16.7−18.07−0.821.87−9.94−22.96−24.120.031.92−4.24−8.46−9.58−0.141.22−4.59−7.53−10.08−0.444.78−5.83−17.54−19.6900.130.541.623.69−0.04−0.130.031.083.310.055.4−8.94−20.82−18.33−0.011.52−4.54−8.89−9.050.031.9−4.29−8.38−9.67−0.444.85−5.79−17.62−19.820.010.130.551.623.73−0.151.75−3.16−7.17−11.91−0.022.81−5.54−12.22−13.08−0.270.3−3.39−9.39−5.532.9610.66−4.37−18.34−16.390.916.68−9.44−20.57−16.58−0.283.02−7.72−15.98−15.610.685.46−8.97−20.74−19.85−0.011.53−4.55−8.82−8.930.031.92−4.24−8.25−9.36−0.270.3−3.39−9.41−5.52−0.273.01−7.71−15.99−15.62−0.444.87−5.77−17.4−19.650.031.92−4.24−8.27−9.4−0.522.33−6.13−11.81−12.480.010.10.41.523.49−0.270.29−3.37−9.39−5.56−0.851.33−11.92−15.35−9.18−0.273.03−7.69−15.92−15.60.685.44−8.96−20.72−19.82−0.011.54−4.49−8.78−8.80.010.10.441.543.44−0.273.03−7.71−15.98−15.640.685.46−8.95−20.72−19.83−0.12.71−4.08−7.1−11.99−0.444.87−5.77−17.61−19.790.031.93−4.25−8.28−9.43−0.133.79−4.66−11.26−15.18−0.133.79−4.66−11.26−15.18−0.011.54−4.51−8.82−8.870.031.92−4.28−8.31−9.520.232.48−10.51−11.86−17.94−0.120.45−1.76−6.87−3.18−0.823.63−4.73−10.28−8.21−0.723.79−8.19−11.24−8.83−0.882.11−10.4−23.28−19.76−1.22.29−11.12−24.42−21.47−0.010.130.351.463.470.214.49−5.12−14.27−15.930.031.89−4.27−8.39−9.62−0.613.5−7.37−16.84−16.48−0.031.3−5.18−7.83−13.77−0.011.54−4.49−8.75−8.73−0.12.71−4.07−7.09−12.01−0.196.36−2.2−12.88−13.60.013.91−6.58−15.11−16.170.031.93−4.23−8.23−9.32−0.821.89−9.91−22.68−23.87−0.444.87−5.76−17.57−19.74−0.821.74−10.03−23.05−24.290.031.92−4.24−8.27−9.39−0.851.33−11.93−15.35−9.20.031.92−4.26−8.3−9.46−0.444.87−5.78−17.55−19.79−0.172.48−7.25−14.26−19.211D1W1M3M6Mmotilal oswal nifty next icici prudential nifty 50UTI Nifty200 Momentum 30 UTI NIFTY 500 Value 50 InUTI BSE Low Volatility InTata Nifty500 Multicap InTata Nifty Midcap 150 MomTata Nifty Financial ServTata BSE Sensex Index FunSbi Nifty Index FundSBI NIFTY SMALLCAP 250 INSBI BSE SENSEX INDEX FUNDNippon India Nifty IT IndNippon India Nifty 50 ValNavi Nifty Midcap 150 IndNavi BSE Sensex Index FunMotilal Oswal Nifty MicroMotilal Oswal Nifty 500 ILIC MF Nifty Next 50 IndeKotak Nifty Smallcap 50 IKotak Nifty Next 50 IndexKotak Nifty 200 Momentum KOTAK NIFTY 100 LOW VOLATICICI Prudential Nifty50 ICICI Prudential Nifty PhICICI Prudential Nifty BaHdfc Index Fund - Nifty 5HSBC CRISIL IBX 50:50 GilHDFC NIFTY50 Equal WeightHDFC NIFTY 100 Equal WeigGroww Nifty Total Market Franklin India NSE Nifty Edelweiss Nifty Next 50 IEdelweiss Nifty Alpha LowEdelweiss MSCI India DomeDsp Nifty 50 Index FundDSP Nifty Midcap 150 QualBandhan Nifty200 MomentumBandhan Nifty Smallcap 25Bandhan Nifty 50 Index FuBandhan CRISIL Gilt 2027 Axis Nifty IT Index FundAxis Nifty 100 Index FundAxis BSE Sensex Index FunAXIS Nifty Midcap 50 Inde
−20−1001020Return %Short Term Return % (Reg) On: 07-Mar-2025www.bmsmoney.com

Disclaimer: Past performance may or may not be sustained in future and should not be used as a basis for comparison with other investments. Returns for periods above 1 year are annualised.


Date Sbi Nifty Index Fund NAV Regular Growth Sbi Nifty Index Fund NAV Direct Growth
07-03-2025 198.2972 207.8367
06-03-2025 198.2289 207.764
05-03-2025 196.4078 205.854
04-03-2025 194.1711 203.5084
03-03-2025 194.4961 203.8478
28-02-2025 194.5509 203.9017
27-02-2025 198.2501 207.7773
25-02-2025 198.2778 207.8038
24-02-2025 198.3315 207.8589
21-02-2025 200.4713 210.0974
20-02-2025 201.505 211.1796
19-02-2025 201.6815 211.3632
18-02-2025 201.793 211.4787
17-02-2025 201.9218 211.6124
14-02-2025 201.6633 211.3375
13-02-2025 202.5627 212.2787
12-02-2025 202.6871 212.4077
11-02-2025 202.8048 212.5297
10-02-2025 205.5311 215.3855
07-02-2025 207.1061 217.0318

Fund Launch Date: 18/Dec/2001
Fund Category: Index Fund
Investment Objective: The scheme will adopt a passive investment strategy. The scheme will invest in stocks comprising the Nifty 50 Index in the same proportion as in the index with the objective of achieving returns equivalent to the Total Returns Index of Nifty 50 Index by minimizing the performance difference between the benchmark index and the scheme. The Total Returns Index is an index that reflects the returns on the index from index gain/loss plus dividend payments by the constituent stocks. However, there can be no assurance that the investment objective of the scheme will be achieved.
Fund Description: An open-ended Scheme tracking Nifty 50 Index
Fund Benchmark: Nifty 50 Index
Source: Fund FactSheet

Disclaimer: NO INVESTMENT ADVICE. The Content is for informational purposes only.