HSBC Managed Solutions Conservative Fund - Dir (G)
Current NAV
Return Details
Period | Return As On Date Jan 29, 2018 |
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1 Month | |
3 Month | |
6 Month | |
1 Year | |
3 Year | |
5 Year |
FUND Returns v/s Scheme Category average
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Peer Comparison
Scheme Name | Assets (Rs.cr) | 3 Months% | 6 Months% | 1 Year% | 3 Year% | 5 Year% |
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Registrar Details
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AUM Movement
Growth in AUM of a fund indicates that investors interest in the fund and conviction over its performance is increasing. Steady growth in AUM is always a good sign
Company Details
To provide long term total return aimed at providing income through an active asset allocation with diversification commensurate with the risk profile of investments by predominantly investing in units of debt mutual fund as well as in a basket of equity mutual funds, gold ETFs and other ETFs and money market instruments.