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Summary Info
Fund Name HSBC Mutual Fund
Scheme Name HSBC Aggressive Hybrid Fund (G)
AMC HSBC Mutual Fund
Type Open
Category Hybrid - Equity Oriented
Launch Date 17-Jan-11
Fund Manager Shriram Ramanathan
Net Assets ()Cr 5,429.61
NAV Graph
  One Month   Three Month   Six Month   One Year   Three Year   Five Year   Since INC
Latest Payouts
Dividends Bonus
Ratio NA NA
Date NA NA
Performance(%)
1 Week[%] 1 Month[%] 3 Month[%] 6 Month[%] 1 Year[%] 3 Year[%] 5 Year[%] Since INC[%]
Scheme Return -0.81 4.02 -1.15 -0.03 16.76 16.00 11.39 12.14
Category Avg -0.54 2.38 0.61 3.35 14.25 14.81 12.29 12.54
Category Best 1.25 6.22 11.36 22.86 35.67 26.32 27.78 32.90
Category Worst -2.64 -0.45 -10.84 -12.98 1.84 4.01 2.96 -0.12
Holdings
Company Name No of Shares Market Value Hold %
M & M 686,700 235.66 4.34
ICICI Bank 1,679,800 227.61 4.19
HDFC Bank 2,016,000 187.34 3.45
Karur Vysya Bank 5,752,440 173.38 3.19
Eternal 6,254,500 171.12 3.15
GE Vernova T&D 519,900 167.94 3.09
Bharat Electron 3,310,700 148.65 2.74
CG Power & Ind 1,768,000 103.26 1.90
Hero Motocorp 176,000 97.40 1.79
ICICI AMC 323,964 96.30 1.77
Multi Comm. Exc. 346,500 87.60 1.61
Radico Khaitan 305,500 86.40 1.59
Cholaman.Inv.&Fn 510,400 83.28 1.53
Axis Bank 571,900 78.37 1.44
KEI Industries 187,857 75.54 1.39
PTC Industries 39,600 71.51 1.32
Blue Star 386,500 70.22 1.29
Maruti Suzuki 46,100 67.30 1.24
Safari Inds. 324,428 65.92 1.21
HCL Technologies 374,400 63.48 1.17
NTPC 1,789,800 63.72 1.17
Hind.Aeronautics 136,500 63.05 1.16
Bharti Airtel 312,600 61.54 1.13
Motil.Oswal.Fin. 810,900 61.11 1.13
Infosys 359,188 58.94 1.09
360 ONE 498,600 56.56 1.04
Coforge 328,000 54.24 1.00
Sun Pharma.Inds. 340,000 54.24 1.00
RBL Bank 1,801,400 53.82 0.99
Lenskart Solut. 1,176,900 53.83 0.99
Bajaj Finance 566,900 52.71 0.97
Max Healthcare 539,800 51.65 0.95
Dixon Technolog. 46,100 48.16 0.89
Interglobe Aviat 100,000 45.97 0.85
Lupin 206,283 44.41 0.82
Persistent Syste 72,440 43.72 0.81
Nippon Life Ind. 443,300 38.93 0.72
Indian Hotels Co 581,000 39.17 0.72
Hexaware Tech. 549,419 38.32 0.71
TD Power Systems 530,721 38.72 0.71
Divi's Lab. 61,500 37.21 0.69
Larsen & Toubro 83,300 32.76 0.60
Reliance Industr 224,300 31.30 0.58
Sai Life 366,100 30.57 0.56
JSW Energy 613,400 28.20 0.52
ERIS Lifescience 203,900 28.05 0.52
Tech Mahindra 160,000 27.89 0.51
Wockhardt 200,000 27.64 0.51
ZF Commercial 18,205 27.29 0.50
Prudent Corp. 111,484 26.72 0.49
Swiggy 804,340 24.91 0.46
Shivalik Bimetal 573,207 24.36 0.45
Titagarh Rail 287,600 23.61 0.43
Canara Robeco 919,000 23.03 0.42
Global Health 214,000 22.55 0.42
Varun Beverages 457,000 21.54 0.40
Vijaya Diagnost. 222,700 21.35 0.39
PB Fintech. 113,700 18.81 0.35
Bikaji Foods 258,520 17.01 0.31
CCL Products 161,000 15.63 0.29
Billionbrains 884,550 15.66 0.29
PG Electroplast 262,700 14.39 0.26
KPIT Technologi. 132,150 13.77 0.25
Mankind Pharma 51,600 10.96 0.20
UTI AMC 100,000 9.73 0.18
Meesho 465,266 8.10 0.15
N A B A R D 12,500,000 131.96 2.43
REC Ltd 10,000,000 105.72 1.95
LIC Housing Fin. 8,500,000 91.12 1.68
Bajaj Finance 8,200,000 86.10 1.59
S I D B I 5,000,000 52.65 0.97
Natl. Hous. Bank 5,000,000 52.93 0.97
Kotak Mahindra P 2,500,000 26.10 0.48
Sundaram Finance 2,500,000 26.04 0.48
Power Fin.Corpn. 2,500,000 25.30 0.47
Bajaj Auto Credi 2,500,000 25.21 0.46
Embassy Off.REIT 750,000 7.52 0.14
GSEC2030 6,500,000 68.42 1.26
GSEC2034 5,000,000 51.25 0.94
GSEC2035 6.48 4,500,000 45.24 0.83
GSEC2035 2,500,000 24.76 0.46
GSEC2032 1,500,000 15.95 0.29
TREPS 0 259.32 4.78
Siddhivinayak Securitisation Trust 6,500,000 65.21 1.20
India Universal Trust AL1 6,200,622 56.71 1.04
Net CA & Others 0 10.10 0.22
Punjab Natl.Bank 10,000,000 93.50 1.72
IDBI Bank 5,000,000 48.94 0.90
HDFC Bank 5,000,000 48.62 0.90
Union Bank (I) 5,000,000 46.83 0.86