- Scheme Category:
- Hybrid Scheme >
- Multi Asset Allocation Fund
NAV: ₹ 13.3267 ↓ -0.81%
[as on 20 October, 2025]
NAV chart with SMA (Simple moving average) overlay
SMA (Simple Moving Average)
Returns
Name | YTD | 1D | 1W | 1M | 3M | 1Y | 3Y | 5Y | 7Y | 10Y |
---|
HSBC Multi Asset Allocation Fund - Direct - Growth | 7.68% | -0.81% | 0.15% | 3.09% | 10.58% | 10.27% | - | - | - | - |
Portfolio
Asset allocation
Equity | Debt | Realestate | Commodities | Cash & Equivalents |
---|
67.99% |
31.19% (Arbitrage: 0.00%) |
0.00% |
0.00% |
0.82% |
Equity
Name | Sector | Weight % |
---|
ETERNAL Limited | | 6.79% |
HDFC Bank Limited | | 5.25% |
Bharti Airtel Limited | | 4.58% |
GE Vernova T&D India Limited | | 3.22% |
ITC Limited | | 3.15% |
Coforge Limited | | 2.13% |
Kaynes Technology India Ltd | | 2.10% |
Ashok Leyland Limited | | 2.09% |
CG Power and Industrial Solutions Limited | | 1.96% |
Bharat Electronics Limited | | 1.84% |
Transformers And Rectifiers (India) Limited | | 1.80% |
Max Healthcare Institute Limited | | 1.80% |
Jubilant Foodworks Limited | | 1.79% |
Infosys Limited | | 1.79% |
Bajaj Finance Limited | | 1.75% |
SBI Cards & Payment Services Limited | | 1.63% |
Hero MotoCorp Limited | | 1.58% |
Safari Industries India Limited | | 1.53% |
Dixon Technologies (India) Limited | | 1.48% |
Anthem Biosciences Limited | | 1.44% |
InterGlobe Aviation Limited | | 1.37% |
Divi''s Laboratories Limited | | 1.26% |
HDFC Asset Management Company Limited | | 1.25% |
Nippon Life India Asset Management Limited | | 1.19% |
Home First Finance Company India Limited | | 1.15% |
Larsen & Toubro Limited | | 1.08% |
Maruti Suzuki India Limited | | 1.05% |
FSN E-Commerce Ventures Limited | | 1.05% |
ICICI Bank Limited | | 1.05% |
State Bank of India | | 1.01% |
Mahindra & Mahindra Limited | | 0.81% |
Global Health Limited | | 0.73% |
Multi Commodity Exchange of India Limited | | 0.71% |
Cholamandalam Investment & Finance Company Limited | | 0.70% |
Bharat Heavy Electricals Limited | | 0.60% |
Hindustan Aeronautics Limited | | 0.49% |
Britannia Industries Limited | | 0.48% |
Persistent Systems Limited | | 0.42% |
Mazagon Dock Shipbuilders Limited | | 0.33% |
Hexaware Technologies Limited | | 0.33% |
UltraTech Cement Limited | | 0.32% |
KEI Industries Limited | | 0.15% |
Lupin Limited | | 0.15% |
NTPC Limited | | 0.12% |
PB Fintech Limited | | 0.10% |
Jyoti CNC Automation Limited | | 0.09% |
BSE Limited | | 0.07% |
Axis Bank Limited | | 0.05% |
Swiggy Limited | | 0.04% |
Godrej Consumer Products Limited | | 0.04% |
LTIMindtree Limited | | 0.03% |
LandT Technology Services Limited | | 0.03% |
Shriram Finance Limited | | 0.02% |
Trent Limited | | 0.01% |
The Indian Hotels Company Limited | | 0.01% |
Debt
Name | Rating | Weight % |
---|
Power Finance Corporation Limited** | | 1.18% |
Bajaj Finance Limited** | | 1.18% |
National Bank for Agriculture & Rural Development^ | | 1.15% |
Rec Limited** | | 1.14% |
Small Industries Development Bank of India^ | | 1.14% |
Bajaj Housing Finance Limited** | | 1.13% |
Power Finance Corporation Limited** | | 0.44% |
India Universal Trust AL2** | | 0.85% |
6.33% GOI 05MAY2035 | | 1.54% |
7.18% GOI 14AUG2033 | | 1.14% |
6.79% GOI 07OCT2034 | | 0.91% |
Export Import Bank of India** | | 0.42% |
Mindspace Business Parks REIT Limited** | | 0.63% |
Nippon Life India Asset Management Limited | | 4.35% |
HDFC Asset Management Company Ltd. | | 3.58% |
SBI Fund Management Limited | | 3.09% |
Nippon Life India Asset Management Limited | | 2.98% |
ICICI Prudential Asset Management Company Ltd | | 2.18% |
ICICI Prudential Asset Management Company Ltd | | 2.16% |
Portfolio data is as on date 30 September, 2025
NAV (Net asset value) history
HSBC Multi Asset Allocation Fund - Direct - Growth - 30 days NAV history
Date | NAV |
---|
20 October, 2025 | 13.3267 |
17 October, 2025 | 13.4349 |
16 October, 2025 | 13.3799 |
15 October, 2025 | 13.4021 |
14 October, 2025 | 13.3313 |
13 October, 2025 | 13.3073 |
10 October, 2025 | 13.2451 |
9 October, 2025 | 13.2225 |
8 October, 2025 | 13.151 |
7 October, 2025 | 13.1046 |
6 October, 2025 | 13.0601 |
3 October, 2025 | 12.9184 |
1 October, 2025 | 12.8778 |
30 September, 2025 | 12.7672 |
29 September, 2025 | 12.7835 |
26 September, 2025 | 12.714 |
25 September, 2025 | 12.8665 |
24 September, 2025 | 12.91 |
23 September, 2025 | 12.9497 |
22 September, 2025 | 12.9464 |
19 September, 2025 | 12.9267 |
18 September, 2025 | 12.9345 |
17 September, 2025 | 12.8811 |
16 September, 2025 | 12.8771 |
15 September, 2025 | 12.7725 |
12 September, 2025 | 12.7691 |
11 September, 2025 | 12.711 |
10 September, 2025 | 12.7024 |
9 September, 2025 | 12.6412 |
8 September, 2025 | 12.6087 |
FAQ (Frequently asked questions)
What is latest/current NAV/price of HSBC Multi Asset Allocation Fund - Direct - Growth?
The latest NAV of HSBC Multi Asset Allocation Fund - Direct - Growth is 13.3267 as on 20 October, 2025.
What are YTD (year to date) returns of HSBC Multi Asset Allocation Fund - Direct - Growth?
The YTD (year to date) returns of HSBC Multi Asset Allocation Fund - Direct - Growth are 7.68% as on 20 October, 2025.
What are 1 year returns of HSBC Multi Asset Allocation Fund - Direct - Growth?
The 1 year returns of HSBC Multi Asset Allocation Fund - Direct - Growth are 10.27% as on 20 October, 2025.