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HSBC Conservative Hybrid Fund(G)

Scheme Returns

-1.36%

Category Returns

5.63%

Riskometer

  • Low
  • Low to moderate
  • Moderate
  • Moderately High
  • High
  • Very High

NAV Chart

Trailing Returns

1 Day 1 week 1 Mth 3 Mth 1 Yrs 3 Yrs 4 Yrs 5 Yrs Since Inception
HSBC Conservative Hybrid Fund(G) 28.39 19.53 -1.36 17.15 7.65 11.46 8.67 9.51 8.87
Hybrid - Conservative Hybrid Fund 6.16 29.51 5.63 14.61 8.13 10.84 9.25 10.60 9.13

* Equity - Returns upto 1 year are absolute and over 1 year are CAGR.

* Debt - Returns upto 1 year are annualized and over 1 year are CAGR.

  • AMC

    HSBC Global Asset Management (India) Private Limited

  • Fund

    HSBC Mutual Fund

Snapshot

  • Inception Date

    24-Feb-2004

  • Initial Price

    ₹10

  • Entry Load

    --

  • Size of Fund(in Cr.)

    11,585.42

  • Scheme Plan

    --

  • Scheme Class

    Hybrid - Conservative Hybrid Fund

  • Objectives

    To seek and generate reasonable returns through investments in debt and money market instruments.

  • Scheme Type

    Open ended scheme

  • Min. Investment

    ₹5,000

  • Exit Load

    --

  • Latest NAV

    61.3864

  • Fund Manager

    Mr. Mahesh Chhabria

  • Fund Manager Profile

    Mr. Mahesh Chhabria has 10 Years of experience in Mutual fund industry. At present he is in FIL Fund Management Private Limited as Credit Analyst and Assistant Portfolio Manager.

  • Fund Information

  • AMC

    HSBC Global Asset Management (India) Private Limited

  • Address

    9-11 Floors, NESCO IT Park, Building No.3, Western Exp Highway, Goregaon (E) Mumbai - 400 063

  • Phone

    +91 (22) 66145000

  • Fax

    +91 (22) 49146033

  • Email

    investor.line@mutualfunds.hsbc.co.in

  • Website

    http://www.assetmanagement.hsbc.co.in/

  • Registrar Agent

  • Registrar

    Computer Age Management Services Limited

  • Address

    178 / 10, Kodambakkam High Road, Opp. Palmgroove Hotel, M.G.R. Salai, Nungambakkam, Chennai - 600 034

  • Phone

    (044) 39115574, 39115583

  • Fax

    (044) 28291521

  • Email

    camslb@camsonline.com

  • Website

    www.camsonline.com

Portfolio Details

Allocation
Debt : 73.92
Equity : 19.64
Others : 6.44

Companies - Holding Percentage

Company Market Value hold percentage
7.18% GOI 24-Jul-2037 2180.73 13.63
7.09% GOI 05AUG2054 1584.24 9.9
6.79% INDIA GOV BOND 07OCT2034 GSEC 1568.98 9.8
7.34% INDIA GOVERNMENT BOND 22APR2064 1072.39 6.7
7.10% GOVT 08-Apr-2034 1064.63 6.65
6.33% INDIA GOVT BOND 05MAY2035 GSEC 1013.03 6.33
Treps 905 5.65
6.92% INDIA GOVT BOND 18NOV2039 GSEC 682.22 4.26
7.32% GOI BOND 13NOV2030 533.5 3.33
Power Finance Corporation Limited^ 527.86 3.3
7.10% GOVERNMENT OF INDIA 18APR29 526.1 3.29
Bajaj Finance Limited^ 507.33 3.17
National Housing Bank^ 506.64 3.17
ETERNAL Limited 476.62 2.98
GE Vernova T&D India Limited 313.8 1.96
Transformers And Rectifiers (India) Limited 312.96 1.96
Trent Limited 304.75 1.9
Paradeep Phosphates Limited 146.95 0.92
Kaynes Technology India Ltd 119.6 0.75
Bharat Electronics Limited 115.38 0.72
KEI Industries Limited 113.07 0.71
Persistent Systems Limited 112.76 0.7
CG Power and Industrial Solutions Limited 103.01 0.64
Safari Industries India Limited 101.54 0.63
ICICI Bank Limited 101.21 0.63
The Indian Hotels Company Limited 97.74 0.61
Cholamandalam Investment & Finance Company Limited 92.86 0.58
Larsen & Toubro Limited 91.88 0.57
Net Current Assets (including cash & bank balances) 85.5 0.53
Siemens Limited 81.64 0.51
Sobha Limited 80.79 0.5
Power Mech Projects Limited 77.68 0.49
Triveni Turbine Limited 58.13 0.36
Godrej Properties Limited 56.1 0.35
Siemens Energy India Limited 55.76 0.35
GOI 07.17% 08JAN28 53.13 0.33
CDMDF CLASS A2 40.78 0.25
KPIT Technologies Limited 40.13 0.25
Aditya Vision Limited 30.62 0.19
Infosys Limited 19.22 0.12
Sundaram Finance Limited 14.48 0.09
Suzlon Energy Limited 10.72 0.07
7.09% GOVERNMENT OF INDIA 25NOV74 G-SEC 10.21 0.06
HDFC Bank Limited 6.53 0.04
ABB India Limited 2.63 0.02
Medi Assist Healthcare Services Limited 2.26 0.01
TD Power Systems Limited 1.81 0.01

Sectors - Holding Percentage

Sector hold percentage
G-Sec 64.29%
Finance 7.14%
Capital Goods 6.6%
Miscellaneous 5.65%
Retailing 5.07%
Bank 3.84%
Electricals 1.45%
IT 1.08%
Infrastructure 1.06%
Chemicals 0.92%
Realty 0.86%
Others 0.79%
FMCG 0.63%
Hospitality 0.61%
Business Services 0.01%

Divident Details

Scheme Name Date Dividend (%)
No Data Found

Alternative Funds From Category

Scheme Name Asset Size 1M 3M 6M 1Y 3Y
DSP Regular Savings Fund- Regular Plan - Growth 184.31 4.2 10.98 10.08 9.54 11.13
Parag Parikh Conservative Hybrid Fund - Regular Plan - Growth 1418.11 1.94 12.85 10.66 9.5 12.34
Aditya Birla Sun Life Regular Savings Fund - Growth / Payment - Regular Plan 1515.79 11.88 15.67 10.11 9.43 10.47
Navi Conservative Hybrid Fund-Growth 26.91 -7.68 3.03 7.55 9.3 5.39
ICICI Prudential Regular Savings Fund - Plan - Growth 3221.93 10.24 15.4 9.84 9.11 11.17
Nippon India Conservative Hybrid Fund-Growth Plan 731.89 11.78 14.3 11.22 8.67 9.43
UTI Conservative Hybrid Fund - Regular Plan - Growth Option 1551.12 5.58 14.57 9.52 8.54 11.49
Franklin India Debt Hybrid Fund - Growth 240.01 10.79 17.19 9.54 8.53 11.16
Canara Robeco Conservative Hybrid Fund - Regular Plan - Growth 1091.37 4.53 14.03 7.71 7.91 9.69
HSBC Conservative Hybrid Fund - Regular Growth 115.85 -1.36 17.15 4.71 7.65 11.46

Other Funds From - HSBC Conservative Hybrid Fund(G)

Scheme Name Asset Size 1M 3M 6M 1Y 3Y
HSBC Liquid Fund - Regular Growth 22670.08 6.27 6.69 7.15 7.19 6.95
HSBC Liquid Fund - Regular Growth 21893.74 6.27 6.69 7.15 7.19 6.95
HSBC Liquid Fund - Regular Growth 20474.9 6.27 6.69 7.15 7.19 6.95
HSBC Liquid Fund - Regular Growth 20247.52 6.27 6.69 7.15 7.19 6.95
HSBC Liquid Fund - Regular Growth 20155.17 6.27 6.69 7.15 7.19 6.95
HSBC Liquid Fund - Regular Growth 20043.37 6.27 6.69 7.15 7.19 6.95
HSBC Liquid Fund - Regular Growth 19885.27 6.27 6.69 7.15 7.19 6.95
HSBC Liquid Fund - Regular Growth 18790.17 6.27 6.69 7.15 7.19 6.95
HSBC Liquid Fund - Regular Growth 18737.68 6.27 6.69 7.15 7.19 6.95
HSBC Liquid Fund - Regular Growth 18480.41 6.27 6.69 7.15 7.19 6.95