Mr. Baijal has done PGDM(MBA) from IIM Calcutta and is an engineering graduate of Delhi college of Engineering Prior to joining Sundaram Mutual Fund, he has worked with Bharti AXA Life Insurance, TVF Capital, HSBC Securities, Credit Suisse Securities & Standard Chartered Bank. ...
This release contains forward-looking statements within the meaning of the Private Securities Litigation Reform Act of 1995, including, but not limited to, statements regarding Flywire’s expectations regarding the benefits of its third-party invoicing solution, Flywire’s business strategy and plans, m...
The scheme is a dedicated gilt scheme which seeks to generate reasonable returns with investments in government securities, securities guaranteed by GoI with medium to long term residual maturities. HDFC Mutual Fund details No. of schemes73view all schemes ...
Mar 2015 Mar 2016 Mar 2017 Mar 2018 Mar 2019 Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024 Last Report Cash & Investments Cash And Equivalents view ratings view ratings view ratings view ratings view ratings 3,306.5 4,729.0 4,818.7 11,349.2 7,581.9 27,013.2 Investment Securities view ...
securities, mutual funds, rental receivables, and assets; loans for professionals; government sponsored programs; and loans on credit card, as well as working capital and commercial/construction equipment finance, healthcare/medical equipment and commercial vehicle finance, dealer finance, and term loans...
Mr. Baijal has done PGDM(MBA) from IIM Calcutta and is an engineering graduate of Delhi college of Engineering Prior to joining Sundaram Mutual Fund, he has worked with Bharti AXA Life Insurance, TVF Capital, HSBC Securities, Credit Suisse Securities & Standard Chartered Bank. Investment objective...
GOI Securities 13.73% Bonds 8.6% Peer comparison Overview Returns Risk ratios Fund nameAUM (in Crs.)Fund ageExpense ratio HDFC Corporate Bond Fund ₹32,421 Crs 12 yrs 1 m 0.36% Nippon India Corporate Bond Fund ₹6,195 Crs 12 yrs 1 m 0.36% Kotak Corporate Bond Fund ₹14,223 Cr...
Asset allocationas on Dec 31, 2024 Equity0% Debt97.14% Other2.86% SOV 97.14% Cash & Call Money 2.86% Top Debt Holdings GOI 96.68% Allocation by Instruments GOI Securities 96.68% Net Current Assets 2.48% Central Government Loan 0.46% Repo 0.38% Peer comparison Overview Returns Risk rati...
Asset allocationas on Dec 31, 2024 Equity0% Debt98.8% Other1.2% SOV 98.8% Cash & Call Money 1.2% Top Debt Holdings GOI 98.8% Allocation by Instruments GOI Securities 98.8% Net Current Assets 0.74% Repo 0.46% Peer comparison Overview Returns Risk ratios Fund nameAUM (in Crs.)Fund ag...