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Summary Info
Fund Name HSBC Mutual Fund
Scheme Name HSBC Financial Services Fund - Direct (G)
AMC HSBC Mutual Fund
Type Open
Category Equity - Banking
Launch Date 06-Feb-25
Fund Manager Gautam Bhupal
Net Assets ()Cr 863.59
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 -5.11 -7.17 -3.23 3.61 16.25 - - 16.03
Category Avg -5.23 -7.34 -5.01 2.15 16.03 16.01 12.43 10.72
Category Best -4.38 -5.51 -2.36 5.66 21.07 21.46 15.73 19.83
Category Worst -5.65 -8.38 -7.65 -2.48 9.93 10.44 8.27 -7.65
Holdings
Company Name No of Shares Market Value Hold %
ICICI Bank 451,000 62.19 7.20
SBI 419,100 50.36 5.83
HDFC Bank 564,400 50.10 5.80
Shriram Finance 442,100 47.72 5.53
Nippon Life Ind. 464,600 43.26 5.01
Axis Bank 280,100 38.76 4.49
Kotak Mah. Bank 846,500 35.15 4.07
ICICI AMC 98,534 30.66 3.55
Karur Vysya Bank 900,000 29.36 3.40
Multi Comm. Exc. 111,750 27.30 3.16
HDFC AMC 92,800 25.04 2.90
PB Fintech. 151,600 22.46 2.60
Cholaman.Inv.&Fn 128,100 22.17 2.57
Max Financial 121,400 22.01 2.55
Federal Bank 705,300 21.15 2.45
KFin Technolog. 203,300 19.45 2.25
RBL Bank 537,550 17.19 1.99
Motil.Oswal.Fin. 223,800 16.23 1.88
Bank of Baroda 490,000 15.78 1.83
PNB Housing 190,900 15.74 1.82
Power Fin.Corpn. 360,450 14.92 1.73
H U D C O 750,600 14.02 1.62
Billionbrains 827,050 13.52 1.57
Piramal Finance. 77,100 13.40 1.55
Prudent Corp. 55,400 13.02 1.51
UTI AMC 121,700 12.02 1.39
Canara Robeco 466,876 11.75 1.36
Aditya Birla Cap 332,800 11.46 1.33
SBI Cards 135,300 10.48 1.21
Home First Finan 95,200 10.31 1.19
CARE Ratings 63,300 10.21 1.18
Bajaj Finance 100,200 9.98 1.16
360 ONE 85,400 9.42 1.09
Pine Labs 469,335 8.93 1.03
City Union Bank 300,000 8.49 0.98
Bajaj Housing 878,000 7.64 0.88
HDB FINANC SER 97,160 6.85 0.79
CMS Info Systems 213,900 6.49 0.75
BSE 20,000 5.41 0.63
Seshaasai Tech. 90,000 2.18 0.25
TREPS 0 51.74 5.99
Net CA & Others 0 -0.76 -0.07