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Fermor/Mutual Funds/NJ Value Fund - Direct Growth
NM

NJ Value Fund - Direct Growth

Equity Schemes - Value FundDirect Plan, Growth optionVery High Risk
10.00NAV as of 12 Aug 2026Data refreshed 12 hours ago
-0.40%all recorded history

Plotted from the real NAV points Fermor has on record for this scheme, not an interpolated daily series.

NAV date
12 Aug 2026
Plan / option
Direct Plan, Growth option
Risk (category)
Very High

Investment growth calculator

See what a monthly SIP could grow to using this fund's own trailing returns, or check what a real historical lumpsum investment would be worth today.

NJ Value Fund - Direct Growth does not yet have enough historical NAV data on Fermor for a real return calculation. Use the SIP Calculator with your own assumed return instead.

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Returns and Rankings

NJ Value Fund - Direct Growth does not yet have enough historical NAV data on Fermor to show a period return; only its current NAV is available.

Returns and Rankings
Fund returns versus category average and rank
Name1Y3Y5Y
Fund returns------
Category average (Equity Schemes - Value Fund)+5.08%+15.56%+13.46%
Rank (Equity Schemes - Value Fund)------

Rank and category average are computed live from every AMFI-registered Direct Plan, Growth option scheme sharing this fund's category, not sourced from a third party.

Exit Load, Stamp Duty and Tax

Every purchase carries a flat 0.005% stamp duty. Exit load, charged only within a certain holding period, is set by the AMC per scheme and disclosed in its SID: check there before redeeming if timing matters.

This is an equity-oriented scheme for tax purposes. Gains on units held for more than 12 months are long-term capital gains (LTCG), exempt up to Rs 1.25 lakh in aggregate per financial year across all equity shares and equity mutual funds, and taxed at 12.5% on the excess.

Compare Similar Funds

Select up to three peers from the same category to compare side by side with this fund.

Similar funds in the same category
SelectNameNAV1Y Return
Groww Value Fund (formerly known as Indiabulls Value Fund) - Direct Plan - Growth Option
Groww Mutual Fund
33.65+5.08%

Peers are AMFI-registered schemes in the same category from different AMCs; NAV and 1-year return are computed from the same daily AMFI feed as this page. Risk shown for peers reflects the shared category, not an individually disclosed riskometer reading. AAUM is only sourced for this page's own scheme today.

What Is NAV?

NAV is the per-unit price of NJ Value Fund - Direct Growth, published daily under SEBI and AMFI rules. See how mutual fund NAV is calculated for the full mechanics.

This is an equity scheme, investing predominantly in listed stocks, with returns tied to broader equity market performance.

How to Invest in NJ Value Fund - Direct Growth

Investing follows the same five-step process for any AMFI-registered scheme: complete KYC once, choose Direct or Regular, decide lumpsum or SIP using the calculator above, choose Growth or IDCW, then submit through the AMC, a registered platform, or an RTA. See the full step-by-step guide to investing in mutual funds for detail on each step, including the Direct vs Regular and Growth vs IDCW tradeoffs.

Minimum investment amounts (commonly Rs 100-500 for SIPs and Rs 1,000-5,000 for a lumpsum) are set by each AMC and disclosed in the SID; confirm the exact figure for this scheme before investing.

More Funds From NJ Mutual Fund

Use the SIP Calculator to project returns from a monthly investment in this category, the Lumpsum Calculator for a one-time investment, the CAGR Calculator to work out the annualised return you have actually earned, and the XIRR Calculator for a series of SIP instalments made on different dates.

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Frequently Asked Questions

What is the NAV of NJ Value Fund - Direct Growth?

The NAV of NJ Value Fund - Direct Growth is Rs 10.0000 per unit as of 12 Aug 2026, per AMFI's daily NAV data.

What does the category "Equity Schemes - Value Fund" mean?

This is an equity scheme, investing predominantly in listed stocks, with returns tied to broader equity market performance.

How risky is NJ Value Fund - Direct Growth?

Funds in the "Equity Schemes - Value Fund" category are typically placed at Very High risk on SEBI's mandatory product riskometer. SEBI's product riskometer methodology weighs equity allocation and volatility heavily, so pure equity categories including this one are almost universally placed Very High, regardless of market-cap focus.

How are gains from NJ Value Fund - Direct Growth taxed?

This is an equity-oriented scheme for tax purposes. Gains on units held for more than 12 months are long-term capital gains (LTCG), exempt up to Rs 1.25 lakh in aggregate per financial year across all equity shares and equity mutual funds, and taxed at 12.5% on the excess.

What are similar funds to NJ Value Fund - Direct Growth?

Other AMCs run schemes in the same "Equity Schemes - Value Fund" category, including Groww Value Fund (formerly known as Indiabulls Value Fund) - Direct Plan - Growth Option. Compare their NAV and 1-year returns in the "Compare Similar Funds" section on this page.

Disclaimer: NAV and historical return data is sourced from AMFI and refreshed daily. Risk profile and tax treatment described on this page are general, category-level information, not this specific scheme's officially disclosed riskometer level or individualised tax advice. Category average and rank are computed live from real AMFI NAV data across the category and may include or exclude schemes depending on what history Fermor has recorded for each one. Mutual fund investments are subject to market risk. Past performance does not indicate future returns. This page is for informational purposes only and does not constitute investment advice. Consult a SEBI-registered investment adviser or a chartered accountant before making investment or tax decisions.

NJ Value Fund - Direct Growth
10.0000 NAV
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