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HSBC Aggressive Hybrid Fund - Regular Plan

Very High Risk
Rs 29.25  
-0.42
  |  
 NAV as on Sep 22, 2025
Benchmark
Nifty50 Hybrid Composite Debt 65:35 Index
Expense Ratio
1.87%
Fund Category
Fund Size
Rs 5,475 Crores
Exit Load
1.00%
Min. Investment
Rs 5,000

Nav Chart

1W
1M
3M
6M
YTD
1Y
3Y
5Y
10Y

Asset Allocation

Sector Allocation

HSBC Aggressive Hybrid Fund - Regular Plan Fund Details

Investment Objective - To seek to generate long-term capital appreciation from a diversified portfolio of predominantly equity and equity related securities and to generate reasonable returns through a portfolio of debt and money market instruments to help generating funds in the long term to save for the cost of childrens education.

Return Since Launch
7.61%
Launch Date
Jan 17, 2011
Type
Open Ended
Riskometer
Very High

Ratio Analysis

Standard Deviation
12.28 vs NA
Fund Vs Category Avg
Beta
1.13 vs NA
Fund Vs Category Avg
Sharpe Ratio
0.73 vs NA
Fund Vs Category Avg
Portfolio Turnover Ratio
43.00 vs NA
Fund Vs Category Avg

Performance Analysis

1W
1M
3M
6M
1Y
3Y
5Y
10Y
SI
Fund Returns (%)0.321.762.9811.458.007.048.785.277.61
Category Average (%)-0.011.251.598.68-0.0014.4217.75NA12.71
Rank within Category32545432205199211130204

* Returns over 1 year are CAGR

Peer Comparision

Scheme Name(IDCW Regular)
NAV (Rs)
AUM (Rs Cr)
1W(%)
1M(%)
3M(%)
6M(%)
1Y(%)
3Y(%)
5Y(%)
10Y(%)
SI(%)
ER(%)
64.8377,2560.741.701.969.966.1713.8817.228.846.481.39
44.6045,1680.181.252.277.44-0.4713.8918.977.355.941.56
16.8523,996-0.120.89-1.083.88-5.075.6710.191.642.591.68
29.8011,333-0.320.28-1.392.10-6.265.848.012.114.231.72
98.7010,9460.110.55-0.674.18-8.034.095.982.477.301.72
17.569,0120.110.751.47-0.34-7.634.327.236.235.701.72
37.507,8530.441.943.7711.972.0015.4919.669.595.251.75
178.107,372-1.92-0.77-2.013.37-8.775.129.262.259.861.85
42.286,302-0.230.72-1.711.98-9.308.5612.364.234.841.87
29.255,4750.321.762.9811.45-5.987.048.785.277.611.87
View All
Sep 22, 2025

Return Calculator

Over the past

Invested
5000
  • Invested Amount
  • Estimated Return

Total investment of ₹5000

Would have become ₹4,701 (-5.98%)

Fund Manager

Shriram Ramanathan
Gautam Bhupal
Asif Rizwi

Mr. Shriram is a Chartered Financial Analyst and holds a Post Graduate Diploma in Business Management from XLRI Jamshedpur and an engineering degree from the University of Mumbai. He worked in FIL Fund Management Private Limited as Portfolio Manager - Fixed Income from December 2009 to June 2012. ING Investment Management Asia Pacific (Hong Kong) as Senior Investment Manager - Global Emerging Market Debt (Asia) from September 2005 to October 2009. ING Investment Management (India) Private Limited as Portfolio Manager - Fixed Income from June 2003 to September 2005. Zurich (India) Asset Management Company as Dealer / Research - Fixed Income from September 2001 to June 2003. ICICI Limited Mumbai as Treasury from June 2000 to September 2001. Larsen & Toubro Limited in Design Department, Switchgear Group from August 1997 to May 1998.

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Here is the list of funds managed by Shriram Ramanathan

Scheme Name(IDCW Regular)
Category
NAV(Rs)
AUM(Rs Cr)
1Y(%)
5Y(%)
Hybrid - Aggressive29.255,475-5.988.78
Debt - Low Duration10.38851-0.09-0.50
Debt - Medium Duration10.647620.13-0.68
Debt - Credit Risk11.4258211.412.14
Debt - Dynamic Bond10.57170-1.97-1.56
Debt - Medium to Long Duration10.7848-1.57-1.24
View All
Sep 22, 2025

Top Performing Related Funds

Scheme Name(IDCW Regular)
NAV (Rs)
AUM (Rs Cr)
1W(%)
1M(%)
3M(%)
6M(%)
1Y(%)
3Y(%)
5Y(%)
10Y(%)
SI(%)
ER(%)
41.0115,886-0.101.982.073.20-15.337.2121.2010.9913.221.68
52.7113,5320.410.491.3613.18-10.1012.1516.899.7111.161.72
75.2211,749-0.17-6.21-3.988.74-9.7113.4214.837.7210.021.72
29.255,4750.321.762.9811.45-5.987.048.785.277.611.87
45.654,9750.091.562.1913.25-11.009.4015.657.537.291.93
17.164,9430.121.643.4613.71-11.30NANANA22.741.88
Sep 22, 2025
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