HSBC Medium Duration Fund (Formerly L&T RESURGENT INDIA BOND FUND) - Growth
Current NAV
Debt Funds - Medium Duration
Launch Date
02 Feb 2015
Open Ended
Net Assets
48427.28 (in Lakhs)
Benchmark Name
Crisil Composite Bond Fund Index
Moderate Low
Moderate High
Very High
Investment Details
Minimum Investment
Subsequent Investment
SIP Initial Investment
Exit Load
Entry Load Nil Exit Load For Redemptions On or before 1 year from the date of allotment or Purchase applying First in First Out basis 2 of the applicable NAV After 1 year but on or before 2 years from the date of allotment or Purchase applying First in First Out basis 1.5 of the applicable NAV After 2 years but on or before 3 years from the date of allotment or Purchase applying First in First Out basis 1 of the applicable NAV After 3 years NIL
Who is Eligible?


Minor through Parent/Lawful Guardian

Foreign Institutional Investors

Financial Institutions and Investment Institutions

Non-resident Indians/Persons of Indian origin residing abroad

Association of Persons

Partner(s) of Partnership Firms




YearFund Return
2022 2.5445
2021 4.5105
2020 9.5901
2019 7.4899
2018 4.3624
2022 0.7119 -1.3746 1.4011 1.7421
2021 0.5648 1.1088 1.9382 0.6630
2020 2.7674 0.2601 2.5719 3.7828
2019 2.0992 0.3331 2.0088 2.5963
2018 1.6667 -0.8143 0.6639 2.3828
Sponsor Name HSBC Global Asset Management Company
Fund Manager Mr. Shriram Ramanathan
Since 02 Feb 2015
Status A
Setup Date 02 Feb 2015
Phone 66145000//
Address 314 D N Road,,Fort,,Mumbai,Maharashtra - 400001
Email hsbcmf@hsbc.co.in
Computer Age Management Services Pvt. Ltd.
Address 7th Floor, Tower II, Rayala Towers, 158,Nungambakkam,,CHENNAI - 440001
Phone 18003010676//
Email helpdist@camsonline.com

Disclaimer :-

1. Investors should consult their Financial Advisers if before making any Investment Decision on sutability of the Product.
2. Past performance may or may not be sustained in future and should not be used as a basis for investments.
3. Fund Returns and Benchmark Performance figures are calculated on a daily NAV to basis for the Growth option of the selected scheme for the relevant
4. The Net Assets are as per the last published Monthly AUM by the respective fund house.
5. Investors are advised to check the information Shown abobe from AMFI , Mutual Fund and Over websites before Making any Investment RR will not take any responsibility for any information provide on this website.
Top 10 Holdings (as on 31-Aug-2015) Portfolio Chart (as on 31-Aug-2015)

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