|
HSBC Business Cycles Direct Payout of Income Dis cum Cap wdrl
|
Category :
Equity - Other
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
24.9293 |
NAV Date :
Jan 27, 2026 |
|
HSBC Overnight Fund Regular Weekly Payout of Income Distribution cum Capital Withdrawal Opt
|
Category :
Overnight
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
1000.0404 |
NAV Date :
Jan 27, 2026 |
|
HSBC Consumption Fund Regular Growth
|
Category :
Equity - Consumption
|
Distribution Type :
Growth
|
Structure :
Open Ended |
Latest NAV :
13.5762 |
NAV Date :
Jan 27, 2026 |
|
HSBC Income Plus Arbitrage Active FOF Payout of Income Distribution cum Capital Wdrl Opt
|
Category :
Fund of Funds
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
17.2271 |
NAV Date :
Jan 27, 2026 |
|
HSBC Multi Asset Allocation Fund Regular Payout Inc Dist cum Cap Wdrl
|
Category :
Multi Asset Allocation
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
13.4656 |
NAV Date :
Jan 27, 2026 |
|
HSBC Aggressive Hybrid Fund Annual Payout of Income Dis cum Cap Wrdl
|
Category :
Aggressive Allocation
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
17.2404 |
NAV Date :
Jan 27, 2026 |
|
HSBC Business Cycles Regular Reinvestment of Income Dis cum Cap wdrl
|
Category :
Equity - Other
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
22.6353 |
NAV Date :
Jan 27, 2026 |
|
HSBC Corporate Bond Fund Direct Plan Annual Reinvestment of Income Distribution cum Cap Wdrl
|
Category :
Corporate Bond
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
12.3557 |
NAV Date :
Jan 27, 2026 |
|
HSBC Flexi Cap Fund - Growth
|
Category :
Flexi Cap
|
Distribution Type :
Growth
|
Structure :
Open Ended |
Latest NAV :
211.2786 |
NAV Date :
Jan 27, 2026 |
|
HSBC Brazil Fund Growth
|
Category :
Global - Other
|
Distribution Type :
Growth
|
Structure :
Open Ended |
Latest NAV :
10.6499 |
NAV Date :
Jan 27, 2026 |
|
HSBC Conservative Hybrid Fund - Direct Plan - Monthly IDCW
|
Category :
Conservative Allocation
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
17.0743 |
NAV Date :
Jan 27, 2026 |
|
HSBC Overnight Fund - IDCW Weekly
|
Category :
Overnight
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
1000.0404 |
NAV Date :
Jan 27, 2026 |
|
HSBC Equity Savings Growth
|
Category :
Equity Savings
|
Distribution Type :
Growth
|
Structure :
Open Ended |
Latest NAV :
33.6533 |
NAV Date :
Jan 27, 2026 |
|
HSBC Equity Savings Monthly Payout of Income Distribution cum Cap Wrdl
|
Category :
Equity Savings
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
14.8053 |
NAV Date :
Jan 27, 2026 |
|
HSBC Equity Savings Quarterly Payout of Income Distribution cum Cap Wrdl
|
Category :
Equity Savings
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
15.7107 |
NAV Date :
Jan 27, 2026 |
|
HSBC CRISIL IBX 50:50 Gilt Plus SDL Apr 2028 Index Fund Direct Growth
|
Category :
Index Funds - Fixed Income
|
Distribution Type :
Growth
|
Structure :
Open Ended |
Latest NAV :
12.9310 |
NAV Date :
Jan 27, 2026 |
|
HSBC ELSS Tax saver Fund Direct Plan Reinvestment of Income Distribution cum Cap Wrdl
|
Category :
ELSS (Tax Savings)
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
38.1582 |
NAV Date :
Jan 27, 2026 |
|
HSBC Banking & PSU Debt fund Direct Plan Daily Payout of Income Dis cum Cap wdrl
|
Category :
Banking & PSU
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
11.1729 |
NAV Date :
Jan 27, 2026 |
|
HSBC Multi Asset Allocation Fund Direct Reinvestment Inc Dist cum Cap Wdrl
|
Category :
Multi Asset Allocation
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
13.8223 |
NAV Date :
Jan 27, 2026 |
|
HSBC Multi Asset Allocation Fund Direct Payout Inc Dist cum Cap Wdrl
|
Category :
Multi Asset Allocation
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
13.8223 |
NAV Date :
Jan 27, 2026 |
|
HSBC Overnight Fund Direct Growth
|
Category :
Overnight
|
Distribution Type :
Growth
|
Structure :
Open Ended |
Latest NAV :
1397.3763 |
NAV Date :
Jan 27, 2026 |
|
HSBC Overnight Fund Direct Monthly Payout of Income Distribution cum Capital Withdrawal Opt
|
Category :
Overnight
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
1000.0015 |
NAV Date :
Jan 27, 2026 |
|
HSBC Asia Pacific(Ex Japan) Dividend Yield Fund Regular Growth
|
Category :
Global - Other
|
Distribution Type :
Growth
|
Structure :
Open Ended |
Latest NAV :
32.1294 |
NAV Date :
Jan 27, 2026 |
|
HSBC Multi Asset Allocation Fund Direct Growth
|
Category :
Multi Asset Allocation
|
Distribution Type :
Growth
|
Structure :
Open Ended |
Latest NAV :
13.8223 |
NAV Date :
Jan 27, 2026 |
|
HSBC Nifty 50 Index Fund Direct Growth
|
Category :
Index Funds
|
Distribution Type :
Growth
|
Structure :
Open Ended |
Latest NAV :
29.6113 |
NAV Date :
Jan 27, 2026 |
|
HSBC Multi Cap Fund Direct Growth
|
Category :
Multi-Cap
|
Distribution Type :
Growth
|
Structure :
Open Ended |
Latest NAV :
18.7754 |
NAV Date :
Jan 27, 2026 |
|
HSBC Ultra Short Duration Fund Regular Monthly Payout of Income Distribution cum Cptl Wdrl Opt
|
Category :
Ultra Short Duration
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
1030.5980 |
NAV Date :
Jan 27, 2026 |
|
HSBC Ultra Short Duration Fund Growth Direct
|
Category :
Ultra Short Duration
|
Distribution Type :
Growth
|
Structure :
Open Ended |
Latest NAV :
1419.9928 |
NAV Date :
Jan 27, 2026 |
|
HSBC Ultra Short Duration Fund IDCW Monthly
|
Category :
Ultra Short Duration
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
1015.0943 |
NAV Date :
Jan 27, 2026 |
|
HSBC Ultra Short Duration Fund Direct Weekly Reinvestment of Income Distribution cum Cptl Wdrl Opt
|
Category :
Ultra Short Duration
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
1008.6262 |
NAV Date :
Jan 27, 2026 |
|
HSBC Ultra Short Duration Fund Growth
|
Category :
Ultra Short Duration
|
Distribution Type :
Growth
|
Structure :
Open Ended |
Latest NAV :
1398.6571 |
NAV Date :
Jan 27, 2026 |
|
HSBC Nifty Next 50 Index Fund Direct Payout of Income Dis cum Cap Wrdl
|
Category :
Index Funds
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
29.2053 |
NAV Date :
Jan 27, 2026 |
|
HSBC Ultra Short Duration Fund IDCW Weekly
|
Category :
Ultra Short Duration
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
1042.7362 |
NAV Date :
Jan 27, 2026 |
|
HSBC Nifty 50 Index Fund Regular Payout of Income Dis cum Cap Wrdl
|
Category :
Index Funds
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
29.0692 |
NAV Date :
Jan 27, 2026 |
|
HSBC Nifty 50 Index Fund Regular Reinvestment of Income Dis cum Cap Wrdl
|
Category :
Index Funds
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
29.0692 |
NAV Date :
Jan 27, 2026 |
|
HSBC Overnight Fund - IDCW Daily
|
Category :
Overnight
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
1000.0149 |
NAV Date :
Jan 27, 2026 |
|
HSBC Overnight Fund - IDCW Monthly
|
Category :
Overnight
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
1000.0015 |
NAV Date :
Jan 27, 2026 |
|
HSBC Dynamic Bond Fund Direct Plan Annual Payout of Income Dis cum Cap Wrdl
|
Category :
Dynamic Bond
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
11.3595 |
NAV Date :
Jan 27, 2026 |
|
HSBC Ultra Short Duration Fund Direct Monthly Reinvestment of Income Distribution cum Cptl Wdrl Opt
|
Category :
Ultra Short Duration
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
1015.0943 |
NAV Date :
Jan 27, 2026 |
|
HSBC Medium to Long Duration Fund - IDCW Direct Quarterly Payout
|
Category :
Medium to Long Duration
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
10.4818 |
NAV Date :
Jan 27, 2026 |
|
HSBC Medium to Long Duration Fund - Regular Quarterly Reinvestment of IDCW option
|
Category :
Medium to Long Duration
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
10.4770 |
NAV Date :
Jan 27, 2026 |
|
HSBC Corporate Bond Fund Direct Plan Growth Plan
|
Category :
Corporate Bond
|
Distribution Type :
Growth
|
Structure :
Open Ended |
Latest NAV :
80.3238 |
NAV Date :
Jan 27, 2026 |
|
HSBC Banking & PSU Debt fund Growth Option
|
Category :
Banking & PSU
|
Distribution Type :
Growth
|
Structure :
Open Ended |
Latest NAV :
24.9169 |
NAV Date :
Jan 27, 2026 |
|
HSBC Arbitrage Fund Regular Bonus
|
Category :
Arbitrage Fund
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
12.7350 |
NAV Date :
Feb 21, 2018 |
|
HSBC Large Cap Fund Payout of Income Distribution cum Capital Withdrawal option
|
Category :
Large-Cap
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
42.6314 |
NAV Date :
Jan 27, 2026 |
|
HSBC Banking & PSU Debt fund Weekly Payout of Income Dis cum Cap wdrl
|
Category :
Banking & PSU
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
10.3060 |
NAV Date :
Jan 27, 2026 |
|
HSBC Banking & PSU Debt fund Direct Plan Daily Reinvestment of Income Dis cum Cap wdrl
|
Category :
Banking & PSU
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
11.1729 |
NAV Date :
Jan 27, 2026 |
|
HSBC Multi Cap Fund Direct Payout of Income Dis cum Cap Wrdl
|
Category :
Multi-Cap
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
18.7755 |
NAV Date :
Jan 27, 2026 |
|
HSBC Medium to Long Duration Fund - Direct Quarterly Reinvestment of IDCW option
|
Category :
Medium to Long Duration
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
10.4818 |
NAV Date :
Jan 27, 2026 |
|
HSBC Arbitrage Fund Regular Monthly Reinvestment of Income Dis cum Cap wdrl
|
Category :
Arbitrage Fund
|
Distribution Type :
Dividend/Bonus
|
Structure :
Open Ended |
Latest NAV :
10.4451 |
NAV Date :
Jan 27, 2026 |