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Summary Info
Fund Name HSBC Mutual Fund
Scheme Name HSBC Low Duration Fund - Direct (G)
AMC HSBC Mutual Fund
Type Open
Category Short Term Income Funds
Launch Date 01-Jan-13
Fund Manager Shriram Ramanathan
Net Assets ()Cr 1,008.68
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 0.06 0.49 1.32 2.94 8.78 8.13 6.74 7.63
Category Avg -0.13 0.45 0.84 2.44 7.11 7.45 6.30 7.07
Category Best 0.03 4.93 4.88 4.80 8.80 8.43 10.75 12.04
Category Worst -0.65 -0.19 0.17 1.42 5.36 4.78 4.30 0.63
Holdings
Company Name No of Shares Market Value Hold %
REC Ltd 8,500,000 88.29 8.75
LIC Housing Fin. 6,500,000 67.90 6.73
N A B A R D 6,000,000 63.22 6.27
S I D B I 5,000,000 51.50 5.11
Natl. Hous. Bank 4,000,000 42.60 4.22
Piramal Finance. 3,000,000 31.18 3.09
Vedanta 2,500,000 26.90 2.67
360 One Prime 2,500,000 26.69 2.65
Power Fin.Corpn. 2,500,000 25.61 2.54
Mindspace Busine 2,500,000 25.43 2.53
MAS FINANC SER 1,500,000 15.95 1.58
Hinduja Ley.Fin. 1,000,000 10.73 1.06
Indostar Capital 1,000,000 10.72 1.06
A B Real Estate 1,000,000 10.47 1.04
Embassy Off.REIT 600,000 6.06 0.60
Motilal Finvest 500,000 5.25 0.52
IndiGrid Trust 500,000 5.04 0.50
E X I M Bank 500,000 5.07 0.50
GSEC2027 3,500,000 36.31 3.60
GSEC2033 3,000,000 32.02 3.17
GSEC2028 1,500,000 15.54 1.54
GSEC2028 1,000,000 10.55 1.05
TBILL-364D 1,500,000 14.80 1.47
TREPS 0 18.29 1.81
Liquid Gold Series 5,160,000 38.23 3.79
Bharti Telecom 2,500,000 23.97 2.38
Mindspace Busine 1,500,000 14.78 1.46
Indostar Capital 500,000 4.97 0.49
Net CA & Others 0 -1.60 -0.13
PAY_5.625% &REC_OIS_ 0 -0.02 0.00
HDFC Bank 5,000,000 49.53 4.91
Union Bank (I) 5,000,000 48.17 4.77
AU Small Finance 5,000,000 47.35 4.69
IndusInd Bank 4,000,000 38.69 3.83
S I D B I 3,500,000 33.13 3.28
RBL Bank 2,500,000 24.66 2.44
N A B A R D 2,500,000 23.49 2.33
Axis Bank 1,500,000 14.54 1.44
CDMDF (SBI AIF Fund) 2,287 2.67 0.26