Fund Overview

NAV (19 Dec 24)

₹ 11.57

AUM (in Cr)

₹ 742.47

1 Year CAGR

% 7.75

Risk Level 

Low to Moderate

Fund Performance

Name
1 Month%
3 Month%
6 Month%
1 Year%
3 Year%
5 Year%
HDFC Nifty G-Sec Jun 2027 Index
0.52
1.49
3.90
7.75
0.00
0.00
Index Funds/ETFs
2.03
6.88
13.47
29.94
14.03
18.43

Note:  Benchmark Performance not available due to periodic changes in underlying Benchmark composition.

Scheme Information

Investment Objective

To generate returns that are commensurate (before fees and expenses) with the performance of the Nifty G- Sec Jun 2027 Index (Underlying Index), subject to tracking difference. .There is no assurance that the investment objective of the Scheme will be realized.

Expense Ratio
% 0.36
Benchmark
-
AUM
₹ 742.47
Inception Date
02 Dec 2022
Turnover Ratio
-
Exit Load
Nil
Asset Class
Solution Oriented
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