HDFC CREDIT RISK DEBT FUND-(G)

Product name Return type 1 yr(%) 3 yr(%) 5 yr(%)

HDFC CREDIT RISK DEBT FUND-(G)

market linked 6.93 % 6.00 % 7.36 %

BenchMark : NIFTY Credit Risk Bond Index

BenchMark Return - - -

Value of Rs. 1,00,000 Invested

current value 106930 119101 142630
scheme objective To generate income/capital appreciation by investing predominantly in AA and below rated corporate debt. There is no assurance that the investment objective of the Scheme will be realized.
Category Mutual Fund > Debt > Credit Risk Fund
Fund Type Open Ended
Fund Manager Shobhit Mehrotra
Minimum Amount for Lumpsum Investment (Rs.) 100
Minimum Amount for SIP Investment (Rs.) 100
Nav Date 16/04/2024
Nav 21.78
AUM (Cr.) 8167.48
AUM Date 31/03/2024
Expense Ratio Currently 2
Expense Ratio Date Currently 29/02/2024
Modified Duration(Yrs) 2.26
Modified Duration Date(Yrs) 31/03/2024
YTM 8.57
YTM Date 31/03/2024
Entry Load NIL
Exit Load Nil for 15% of Units, For excess of limits 1% on or before 12M and 0.50% after 12M but on or before
Tax Treatment of Income Short Term capital gains made on redemptions within three years of investment added to investor income, Long term capital gains taxed at 20% with or without indexation
Tax Benefit on Investment
Withdrawal Anytime
Pros
Cons
Risk Factor All investments in mutual funds are subject to market risks and the NAV of the schemes may go up or down depending upon the factors and forces affecting the securities market and there can be no assurance that the fund's objectives will be achieved. Past performance of the Fund does not indicate the future performance of the Schemes of the Fund.
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