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You are here : Makemystocks Mutual Fund Fund details
HSBC Floating Rate-LT-(WD)
Fund Summary
NAV (Rs), Jan 01 1970
10.02
Initial Price
10
Min investment
Rs 10000
52 Weeks high
10.02
52 Weeks low
10.01
NAV Returns
Duration
Percentage
1 Week
0.14
1 Month
0.68
3 Months
1.89
6 Months
3.58
1 Year
5.89
Scheme Profile
Fund category
Debt - Floating Rate - LT
Scheme plan
Dividend
Scheme type
Open Ended
Launch date
Feb 25, 2009
Fund manager
Sanjay Shah,Suyash Choudhary,Kedar Karnik
AMC
Computerage Management Services Pvt Ltd
Objective
To generate reasonable returns with commensurate risk, from a portfolio comprised of floating rate debt instruments and fixed rate debt instruments, swapped for floating rate returns. The scheme may also invest in debt and money market instruments.
Asset (Rs crore)
32.21 ( Mar 31, 2011)
Other Details
Registered office
314, D. N. Road Fort Mumbai - 400001
Tel
+91-22- 66668819
Email
hsbcmf@hsbc.co.in
Website
www.hsbcinvestments.co.in
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