Tata

Tata - Scheme G - Tier II

Tata Pension Management Ltd.
Government SecuritiesTier IIEst. 2022
NAV
12.45
02 Apr 2026
-2.16% (1Y)Compare
38/100
Ncash Score
8/10
Category Rank
+5.94%
3Y CAGR
4 Yrs
Track Record
Ncash ScoreGrade F
38
Composite score based on returns, risk, consistency & track record vs category peers.
Returns
10/45
Risk
4/25
Consistency
22/25
Track Record
2/5
Risk Metrics3-Year Rolling
VolatilityGood
+2.8%
Sharpe RatioPoor
-0.38
Max DrawdownGood
-4.1%
Sortino RatioPoor
-0.35
Who Should Invest?
⚠️
Long-term (10+ yrs)
Moderate performance
⚠️
First-time NPS
4 Yrs track record
⚠️
Medium-term
Below category avg
Conservative
Lower volatility
Data as of: 02 Apr 2026 • Data refreshed daily

Frequently Asked Questions

What is Tata NPS Scheme G Tier II?

Tata NPS Scheme G Tier II is a National Pension System (NPS) scheme managed by Tata Pension Management Ltd.. It invests in government securities and related instruments under the Government Securities (Scheme G) asset class. Tier II is a voluntary savings account with no lock-in period, allowing flexible withdrawals. The scheme has a track record of 4 Yrs.

What is the Ncash Score for Tata Scheme G Tier II?

Tata Scheme G Tier II has an Ncash Score of 38/100, rated "Below Average" (Grade F). The score is composed of Returns (9.9/45), Risk (4.0/25), Consistency (22.1/25), and Track Record (2.0/5).

What are the returns of Tata Scheme G Tier II?

The CAGR returns for Tata NPS Scheme G Tier II are — 1-year: -2.16%, 3-year: +5.94%, 5-year: +4.48%, 10-year: +2.22%, since inception: +6.24%. Returns are calculated on a trailing basis and updated regularly.

How does Tata Scheme G rank among peers?

Tata NPS Scheme G Tier II is ranked 8/10 among all Government Securities Tier II NPS schemes based on overall performance. Rankings factor in returns across multiple periods, risk-adjusted performance, and consistency.

What are the risk metrics for Tata Scheme G Tier II?

Key risk metrics for Tata NPS Scheme G Tier II — Volatility: 2.8%, Sharpe Ratio: -0.38, Max Drawdown: -4.1%. These metrics help assess the risk-return tradeoff of the scheme.

FULLY LICENSED. FULLY COMPLIANT.
Amfi

Association of Mutual Funds of India Registered Mutual Fund Distributor ARN:186998

PFRDA

Pension Fund Regulatory and Development Authority  RAN00005154E

IRDA

Insurance Regulatory and Development Authority of India
Registration No: CA0906

BSE

BSE Registered Mutual Fund
Distributor Code No:54569

DIPP

Department of Promotion
of Industry and Internal Trade No : DIPP82861

ITR

E-Return Intermediary
Registration No : ERIP005873

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