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Hsbc Managed Solutions India Conservative Fund

NAV (direct) : 16.3983

(16.3941)

NAV (regular) : 16.0418

(16.0381)
Other - Fund Of Funds
Last Updated on 31-Jul-2020

Hsbc Managed Solutions India Conservative Fund net asset value or NAV jumped from 16.3941 to 16.3983 since last working day

Hsbc Managed Solutions India Conservative Fund last 1 year returns is 8.64%

Hsbc Managed Solutions India Conservative Fund last 3 year returns is 5.78%

Hsbc Managed Solutions India Conservative Fund last 5 year returns is 6.95%

Hsbc Managed Solutions India Conservative Fund returns since launch is 8.22%

Hsbc Managed Solutions India Conservative Fund asset under management or AUM is 55.22 crores

Hsbc Managed Solutions India Conservative Fund one year annualised return is 8.64 compared to benchmark CRISIL Composite Bond(90.00), S&P BSE 200 TRI(10.00) one year annualised return of 11.62

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