Aditya Birla Sun Life Corporate Bond Fund 5Y return: 7.15% p.a. ICICI Prudential Corporate Bond Fund 5Y return: 7.06% p.a. Nippon India Corporate Bond Fund 5Y return: 7.04% p.a. HDFC Corporate Bond Fund 5Y return: 7.0% p.a. PGIM India Corporate Bond Fund 5Y return: 6.68% p.a. ...
The latest Net Asset Value (NAV) of HDFC Long Duration Debt Fund Direct - Growth as of 27/01/2025 is ₹12.05. The fund has an expense ratio of 0.3%, which is close to what most other Long Duration funds charge. HDFC Long Duration Debt Fund Direct - Growth returns of last 1-year...
类型:基金 市场:印度 发行商:HDFC Standard Life Insurance Co. Ltd. 资产类别:股票 晨星评级: 总资产:730.62M 0P0000NNFM技术分析 总结:强力卖出 移动平均指数:强力卖出买入(0)卖出(12) 技术指标:强力卖出买入(0)卖出(6) 枢轴点2025年2月21日 22:25 GMT ...
Factsheet (DE) Kommentar Key Investor Information (KID) Wegweiser zur Fonds-Abwicklung Sustainability SFDR Website Disclosure Prospekte & Berichte MS INVF Prospekt MS INVF Jahresbericht MS INVF Halbjahresbericht Produkthinweis MS INVF Product Notice: June 2024 – Release of New...
0.53% YTD Return (as of 02/06/2025) $13.41 NAV (as of 02/06/2025) +0.05 1 Day NAV Change (as of 02/06/2025) FactsheetProspectus Objective Long-term capital appreciation with some current income. Strategy Under normal circumstances, the Matthews Asian Growth and Income Fund seeks to ach...
Tax saving is the prime reason for ELSS being the great choice as an investment option. Investment to the extent of Rs. 1.5 Lakhs annually in ELSS qualifies for the tax deduction under section 80C of the Income Tax Act, 1961. However, you can invest any amount in ELSS, as such there ...
buyHDFCLIFE Duration: Target:800 buySBIN Duration: Target:950 buyJSWENERGY Duration: Target:790 buyMARUTI Duration: Target:14500 buy ChartTop GainersTop LosersMore details... Loading ... Market Movement NSE Market Movement NSE Market Movement ...
CEMAX Symbol $11.15$0.16 NAV as of Jan 30, 2025 Fact Sheet Dec 31, 2024 Historical Returns (%)as of Dec 31, 2024 Created with Highstock 2.0.3Fund at NAVFund w/Max Sales ChargeMSCI Emerging Markets Index1 Mo.3 Mos.YTD1 Yr.3 Yrs.5 Yrs.Life of Fund-20%-15%-10%-5%0%5%10%15...
Fact Sheet Dec 31, 2024Overview Performance Portfolio Management LiteratureHistorical Returns (%) as of Jan 31, 2025 01/31/202512/31/2024 Fund at NAVFund w/Max Sales ChargeMSCI Emerging Markets Index1 Mo.3 Mos.YTD1 Yr.3 Yrs.5 Yrs.Life of Fund-10%-5%0%5%10%15%20% Past ...
HDFC Bank Ltd Delta Electronics Inc Ping An Insurance Group Co of China Ltd Full and Historical Holdings The portfolio is actively managed, and current holdings may be different. Important Risk Considerations Show Less The fund may not achieve its objective and/or you could lose money on yo...