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Summary Info
Fund Name HDFC Mutual Fund
Scheme Name HDFC Mid Cap Fund - Regular (G)
AMC HDFC Mutual Fund
Type Open
Category Equity - Diversified
Launch Date 07-May-07
Fund Manager Chirag Setalvad
Net Assets ()Cr 89,383.23
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 0.18 1.96 6.61 8.90 9.72 25.90 26.94 17.79
Category Avg -0.24 0.03 4.06 5.67 4.08 18.30 20.50 15.12
Category Best 0.84 3.10 11.83 19.26 24.20 32.10 33.36 43.55
Category Worst -3.61 -5.88 -5.36 -4.69 -16.93 1.41 7.85 -18.93
Holdings
Company Name No of Shares Market Value Hold %
Max Financial 25,792,853 3,988.86 4.46
AU Small Finance 37,701,056 3,309.59 3.70
Indian Bank 36,854,482 3,164.69 3.54
Federal Bank 127,825,000 3,024.47 3.38
Balkrishna Inds 13,224,300 3,014.88 3.37
Fortis Health. 27,834,044 2,847.56 3.19
Coforge 15,620,600 2,777.50 3.11
H P C L 55,530,830 2,643.27 2.96
Glenmark Pharma. 12,636,078 2,389.74 2.67
Ipca Labs. 17,749,473 2,256.31 2.52
Vishal Mega Mart 150,673,400 2,180.09 2.44
Apollo Tyres 41,892,187 2,100.89 2.35
Tata Comm 11,148,059 2,090.71 2.34
Persistent Syste 3,337,818 1,974.85 2.21
M & M Fin. Serv. 61,975,386 1,955.63 2.19
Cummins India 4,448,204 1,932.34 2.16
Marico 26,497,061 1,907.66 2.13
Jindal Steel 15,282,933 1,630.38 1.82
Aurobindo Pharma 13,344,745 1,519.83 1.70
Union Bank (I) 96,886,066 1,440.41 1.61
Delhivery 30,339,800 1,413.68 1.58
Bosch 368,312 1,371.78 1.53
PB Fintech. 7,113,865 1,270.11 1.42
Indian Hotels Co 16,870,740 1,251.47 1.40
Dabur India 24,254,715 1,182.54 1.32
Mphasis 4,182,210 1,156.13 1.29
Eternal Ltd 35,950,392 1,142.32 1.28
Gland Pharma 5,860,179 1,130.37 1.26
AIA Engineering 3,328,247 1,081.65 1.21
Indraprastha Gas 51,006,808 1,081.04 1.21
Hexaware Tech. 14,855,944 1,021.20 1.14
Star Health Insu 20,580,646 1,017.51 1.14
Karur Vysya Bank 39,702,000 965.35 1.08
Coromandel Inter 4,272,186 907.67 1.02
Redington 35,461,606 899.84 1.01
ACC 4,745,926 892.95 1.00
Escorts Kubota 2,342,329 886.92 0.99
Nippon Life Ind. 9,935,242 869.14 0.97
Alkem Lab 1,545,839 851.22 0.95
Bharat Forge 6,436,155 852.60 0.95
Crompton Gr. Con 28,767,054 813.24 0.91
Dixon Technolog. 514,290 796.84 0.89
K E C Intl. 9,032,350 738.62 0.83
IndusInd Bank 9,226,037 733.29 0.82
Sundram Fasten. 7,211,207 684.63 0.77
Timken India 2,150,287 676.05 0.76
Godrej Consumer 5,796,039 648.34 0.73
Supreme Inds. 1,657,525 631.93 0.71
SKF India Indus. 2,353,023 637.29 0.71
City Union Bank 26,052,000 595.73 0.67
United Spirits 3,972,655 568.65 0.64
Gujarat Fluoroch 1,386,604 519.09 0.58
SKF India 2,353,023 503.74 0.56
Chola Financial 2,264,620 433.13 0.48
Sona BLW Precis. 8,982,769 424.66 0.48
Emami 7,419,485 396.50 0.44
Greenlam Industr 14,968,342 397.08 0.44
CEAT 912,978 368.18 0.41
Vesuvius India 7,363,020 363.25 0.41
Symphony 3,712,095 347.01 0.39
Vardhman Textile 7,274,473 317.20 0.35
Aarti Industries 7,731,125 293.74 0.33
KNR Construct. 16,316,265 295.70 0.33
Oracle Fin.Serv. 340,648 290.06 0.32
ICICI Lombard 1,316,300 262.43 0.29
Arvind Ltd 8,151,786 259.88 0.29
Navneet Educat. 15,731,336 254.28 0.28
Five-Star Bus.Fi 3,859,478 251.93 0.28
Bharti Hexacom 1,365,450 254.08 0.28
Colgate-Palmoliv 801,989 179.89 0.20
Greenply Industr 5,420,577 165.60 0.19
LG Electronics 1,004,854 167.17 0.19
Dhanuka Agritech 1,041,094 143.07 0.16
Greenpanel Inds. 5,158,945 146.98 0.16
Jagran Prakashan 7,625,652 55.42 0.06
TREPS 0 5,437.97 6.08
Net CA & Others 0 -64.55 -0.02