Hsbc Cash Fund - Monthly Dividend Payout

Debt Earn interest on cash balances
Liquid Fund
Category Rank
Hsbc Cash Fund - Monthly Dividend Payout
Rating
Fund
Time to Invest
Hsbc Cash Fund - Monthly Dividend Payout
NAV
1006.1403
(09/04/2020)
L 52Wk H
1000.77
1007.05
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Hsbc Cash Fund - Monthly Dividend Payout

Debt
Liquid Fund
Earn interest on cash balances
Rank Hsbc Cash Fund - Monthly Dividend Payout
Fund
NAV
1006.1403
(09/04/2020)
Time to Invest
Hsbc Cash Fund - Monthly Dividend Payout
Rating
L 52Wk H
1000.77
1007.05
Investment Objective

To provide reasonable returns commensurate with low risk while providing high level of liquidity through a portfolio of money market and debt securities. .

Category
  • Debt - Liquid Fund
Benchmark
  • Crisil Liquid Fund Index
  • Crisil 91 Day T-Bill Index
Returns
1M
0.38%
3M
0.99%
6M
0.95%
1Y
0.89%
3Y
0.34%
5Y
0.18%
Historical NAV
NAV for scheme HSBC Cash Fund - Monthly Dividend Payout is
Growth of 10,000
An investment of 10000 for in this scheme would have grown to Rs.

Risk of the fund

Hsbc Cash Fund - Monthly Dividend Payout

AUM

5777.41 Cr
Hsbc Cash Fund - Monthly Dividend Payout AUM is 45% lower than other schemes in the category

Load

Entry Load - NIL
Exit Load - 0.007% for Day 1 0.0065% on Day 2 0.0060% on Day 3 0.0055% on Day 4 0.0050% on Day 5 0.0045% on Day 6 NIL on or after 7D
Lock In Period - NIL

Expense Ratio

0.23%
Hsbc Cash Fund - Monthly Dividend Payout Expense Ratio is 74% lower than other schemes in the category

Turnover Ratio

NA