Investment Objective
Nippon India Pharma Fund seeks to generate consistent returns for its investors by investing in equity and equity related or fixed income securities of pharma companies and other associated companies.
Investment Strategies
- The fund primarily invests in equity and equity related securities of pharma and other associated companies.
- It invests in a mix of companies across market capitalization to generate consistent returns.
- It uses ‘relative valuation’ within the important sub-segments of the industry as an important investment parameter for stock selection.
- The fund spreads investments across all key segments of the pharmaceutical industry — domestic and international, branded and generic and healthcare services.
Who Should Invest
- Investors seeking to invest predominantly in a portfolio of equity and equity related securities of pharma & other associated companies.
- Those who are aware of the fact that investing in a sectoral fund carries higher risk than diversified equity funds.
