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NAV (direct) : 17.7080
(17.6735)NAV (regular) : 17.3935
(17.3597)Hsbc Managed Solutions India Growth Fund net asset value or NAV jumped from 17.6735 to 17.7080 since last working day
Hsbc Managed Solutions India Growth Fund direct last 1 year returns is 0.89%
Hsbc Managed Solutions India Growth Fund direct last 3 year returns is 0.99%
Hsbc Managed Solutions India Growth Fund direct last 5 year returns is 5.85%
Hsbc Managed Solutions India Growth Fund direct returns since launch is 9.56%
Hsbc Managed Solutions India Growth Fund asset under management or AUM is 35.90 crores
Hsbc Managed Solutions India Growth Fund one year annualised return is 0.89 compared to benchmark S&P BSE 200 TRI(80.00), CRISIL Composite Bond(20.00) one year annualised return of 4.47