HSBC Liquid Fund - Regular Growth

Category: Debt: Liquid
Launch Date: 01-06-2004
Asset Class: Fixed Income
Benchmark: NIFTY Liquid Index A-I
Expense Ratio: 0.21% As on (30-04-2025)
Status: Open Ended Schemes
Minimum Investment: 5000.0
Minimum Topup: 1000.0
Total Assets: 18,232.56 Cr As on (30-05-2025)
Turn over: -
NAV as on 15-06-2025

2597.5948

0.79 (0.0303%)

CAGR Since Inception

6.79%

NIFTY Liquid Index A-I 6.37%

PERFORMANCE of HSBC Liquid Fund - Regular Growth

Scheme Performance (%)

Data as on - 13-06-2025

Yearly Performance (%)

Fund Managers

FM 1 - Abhishek Iyer , FM 2 - Mahesh Chhabria

Investment Objective

To provide reasonable returns, commensurate with low risk while providing a high level of liquidity, through a portfolio of money market and debt securities. However, there can be no assurance that the Scheme objective can be realised.

NAV & Lumpsum details( Invested amount 1,00,000)

Show All Monthly Lumpsum Returns
NAV Date NAV Units Market
Value
Returns
(%)
30-12-2012 1145.2041 87.3207 100000 0.0 %
30-01-2013 1153.4324 - 100719 0.72 %
28-02-2013 1161.0391 - 101383 1.38 %
28-03-2013 1168.8178 - 102062 2.06 %
28-04-2013 1177.5199 - 102822 2.82 %
28-05-2013 1185.3949 - 103510 3.51 %
28-06-2013 1193.4696 - 104215 4.21 %
28-07-2013 1199.4922 - 104740 4.74 %
28-08-2013 1210.849 - 105732 5.73 %
29-09-2013 1222.4083 - 106742 6.74 %
28-10-2013 1232.212 - 107598 7.6 %
28-11-2013 1241.9781 - 108450 8.45 %
29-12-2013 1251.3803 - 109271 9.27 %
28-01-2014 1260.4326 - 110062 10.06 %
28-02-2014 1269.7076 - 110872 10.87 %
28-03-2014 1278.7433 - 111661 11.66 %
28-04-2014 1288.8716 - 112545 12.54 %
28-05-2014 1298.2899 - 113368 13.37 %
29-06-2014 1308.1389 - 114228 14.23 %
28-07-2014 1317.0042 - 115002 15.0 %
28-08-2014 1326.4649 - 115828 15.83 %
28-09-2014 1336.1334 - 116672 16.67 %
28-10-2014 1345.6654 - 117504 17.5 %
28-11-2014 1355.3899 - 118354 18.35 %
28-12-2014 1364.7032 - 119167 19.17 %
28-01-2015 1374.4313 - 120016 20.02 %
01-03-2015 1384.4601 - 120892 20.89 %
29-03-2015 1393.3297 - 121667 21.67 %
28-04-2015 1403.7201 - 122574 22.57 %
28-05-2015 1413.2567 - 123407 23.41 %
28-06-2015 1423.0037 - 124258 24.26 %
28-07-2015 1432.3584 - 125075 25.07 %
28-08-2015 1441.7719 - 125897 25.9 %
28-09-2015 1451.0011 - 126702 26.7 %
28-10-2015 1460.1393 - 127500 27.5 %
29-11-2015 1469.5881 - 128325 28.32 %
28-12-2015 1478.1213 - 129071 29.07 %
28-01-2016 1487.5012 - 129890 29.89 %
28-02-2016 1496.9046 - 130711 30.71 %
28-03-2016 1506.3874 - 131539 31.54 %
28-04-2016 1517.5702 - 132515 32.52 %
29-05-2016 1527.5266 - 133385 33.38 %
28-06-2016 1536.8481 - 134199 34.2 %
28-07-2016 1546.1383 - 135010 35.01 %
28-08-2016 1555.3022 - 135810 35.81 %
28-09-2016 1564.3474 - 136600 36.6 %
28-10-2016 1573.093 - 137364 37.36 %
28-11-2016 1582.0872 - 138149 38.15 %
28-12-2016 1590.3644 - 138872 38.87 %
29-01-2017 1599.4553 - 139666 39.67 %
28-02-2017 1607.8995 - 140403 40.4 %
28-03-2017 1615.957 - 141106 41.11 %
28-04-2017 1624.9767 - 141894 41.89 %
28-05-2017 1633.6447 - 142651 42.65 %
28-06-2017 1642.6763 - 143440 43.44 %
28-07-2017 1651.6007 - 144219 44.22 %
28-08-2017 1660.6547 - 145010 45.01 %
28-09-2017 1669.621 - 145792 45.79 %
29-10-2017 1678.7589 - 146590 46.59 %
28-11-2017 1687.5013 - 147354 47.35 %
28-12-2017 1696.2902 - 148121 48.12 %
28-01-2018 1705.7213 - 148945 48.95 %
28-02-2018 1715.3062 - 149782 49.78 %
28-03-2018 1725.5228 - 150674 50.67 %
01-05-2018 1736.7624 - 151655 51.65 %
28-05-2018 1745.4391 - 152413 52.41 %
28-06-2018 1756.5206 - 153381 53.38 %
29-07-2018 1767.6041 - 154348 54.35 %
28-08-2018 1777.9774 - 155254 55.25 %
28-09-2018 1788.8951 - 156208 56.21 %
28-10-2018 1799.934 - 157171 57.17 %
28-11-2018 1811.419 - 158174 58.17 %
28-12-2018 1822.3765 - 159131 59.13 %
28-01-2019 1833.5522 - 160107 60.11 %
28-02-2019 1844.3009 - 161046 61.05 %
28-03-2019 1854.3287 - 161921 61.92 %
29-04-2019 1866.781 - 163009 63.01 %
28-05-2019 1877.6752 - 163960 63.96 %
28-06-2019 1888.5933 - 164913 64.91 %
28-07-2019 1898.9762 - 165820 65.82 %
28-08-2019 1908.8762 - 166684 66.68 %
29-09-2019 1918.1127 - 167491 67.49 %
28-10-2019 1927.1056 - 168276 68.28 %
28-11-2019 1935.9509 - 169049 69.05 %
29-12-2019 1944.4273 - 169789 69.79 %
28-01-2020 1952.5647 - 170499 70.5 %
28-02-2020 1960.9467 - 171231 71.23 %
29-03-2020 1968.1153 - 171857 71.86 %
28-04-2020 1977.6224 - 172687 72.69 %
28-05-2020 1985.1845 - 173348 73.35 %
28-06-2020 1991.3319 - 173884 73.88 %
28-07-2020 1996.4856 - 174335 74.33 %
28-08-2020 2001.9538 - 174812 74.81 %
28-09-2020 2007.1023 - 175262 75.26 %
28-10-2020 2012.6738 - 175748 75.75 %
30-11-2020 2018.102 - 176222 76.22 %
28-12-2020 2022.3094 - 176589 76.59 %
28-01-2021 2027.2548 - 177021 77.02 %
28-02-2021 2032.8579 - 177511 77.51 %
29-03-2021 2037.99 - 177959 77.96 %
28-04-2021 2043.3502 - 178427 78.43 %
28-05-2021 2048.4412 - 178871 78.87 %
28-06-2021 2054.1194 - 179367 79.37 %
28-07-2021 2059.772 - 179861 79.86 %
29-08-2021 2065.7657 - 180384 80.38 %
28-09-2021 2070.7392 - 180818 80.82 %
28-10-2021 2075.9298 - 181272 81.27 %
28-11-2021 2082.2293 - 181822 81.82 %
28-12-2021 2087.9219 - 182319 82.32 %
28-01-2022 2094.1227 - 182860 82.86 %
28-02-2022 2100.3923 - 183408 83.41 %
28-03-2022 2106.0256 - 183900 83.9 %
28-04-2022 2112.7066 - 184483 84.48 %
29-05-2022 2119.2465 - 185054 85.05 %
28-06-2022 2127.1967 - 185748 85.75 %
28-07-2022 2135.0826 - 186437 86.44 %
28-08-2022 2145.0471 - 187307 87.31 %
28-09-2022 2153.7146 - 188064 88.06 %
28-10-2022 2164.7722 - 189029 89.03 %
28-11-2022 2176.6349 - 190065 90.06 %
28-12-2022 2188.1883 - 191074 91.07 %
29-01-2023 2200.6621 - 192163 92.16 %
28-02-2023 2212.0175 - 193155 93.16 %
28-03-2023 2223.0386 - 194117 94.12 %
28-04-2023 2238.1317 - 195435 95.44 %
28-05-2023 2251.0583 - 196564 96.56 %
28-06-2023 2263.5309 - 197653 97.65 %
28-07-2023 2276.1609 - 198756 98.76 %
28-08-2023 2288.8938 - 199868 99.87 %
28-09-2023 2301.9426 - 201007 101.01 %
29-10-2023 2315.2534 - 202170 102.17 %
28-11-2023 2328.3767 - 203315 103.31 %
28-12-2023 2341.569 - 204467 104.47 %
28-01-2024 2356.2735 - 205751 105.75 %
28-02-2024 2370.8077 - 207021 107.02 %
28-03-2024 2385.2632 - 208283 108.28 %
28-04-2024 2400.5214 - 209615 109.61 %
28-05-2024 2414.2545 - 210814 110.81 %
28-06-2024 2428.3002 - 212041 112.04 %
28-07-2024 2442.5444 - 213285 113.28 %
28-08-2024 2456.6989 - 214521 114.52 %
29-09-2024 2471.6527 - 215826 115.83 %
28-10-2024 2485.5209 - 217037 117.04 %
28-11-2024 2499.9514 - 218298 118.3 %
29-12-2024 2513.5662 - 219486 119.49 %
28-01-2025 2528.8492 - 220821 120.82 %
28-02-2025 2543.8765 - 222133 122.13 %
28-03-2025 2559.6278 - 223508 123.51 %
28-04-2025 2575.2603 - 224874 124.87 %
28-05-2025 2589.0982 - 226082 126.08 %
15-06-2025 2597.5948 - 226824 126.82 %

RETURNS CALCULATOR for HSBC Liquid Fund - Regular Growth

Growth of 10000 In SIP (Fund vs Benchmark)

Amount :
Period :
Start :
End :

Growth of 10000 In LUMPSUM (Fund vs Benchmark)

Amount :
Start :

Rolling Returns

Rolling returns are the annualized returns of the scheme taken for a specified period (rolling returns period) on every day/week/month and taken till the last day of the duration. In this chart we are showing the annualized returns over the rolling returns period on every day from the start date and comparing it with the benchmark. Rolling returns is the best measure of a fund's performance. Trailing returns have a recency bias and point to point returns are specific to the period in consideration. Rolling returns, on the other hand, measures the fund's absolute and relative performance across all timescales, without bias.

Riskometer

Key Performance and Risk Statistics of HSBC Liquid Fund - Regular Growth

Key Statistics Volatility Sharpe Ratio Alpha Beta Yield to Maturity Average Maturity
HSBC Liquid Fund - Regular Growth 0.48 0.3 2.07 0.96 6.23 0.13
Debt: Liquid - - - - - -

PEER COMPARISION of HSBC Liquid Fund - Regular Growth

Amount :
Start :
End :
Period
Data as on - 13-06-2025
Scheme Name Launch
Date
1-Year
Ret (%)
2-Yrs
Ret (%)
3-Yrs
Ret (%)
5-Yrs
Ret (%)
10-Yrs
Ret (%)
HSBC Liquid Fund - Regular Growth 01-06-2004 7.25 7.24 6.94 5.49 6.23
HSBC Liquid Fund - Growth 04-12-2002 9.01 9.27 8.37 6.0 6.03
Aditya Birla Sun Life Liquid Fund- Discipline Advantage Plan 22-06-2009 7.5 7.5 7.15 5.6 6.37
BANK OF INDIA Liquid Fund- Regular Plan- Growth 16-07-2008 7.31 7.31 7.0 5.53 6.24
Axis Liquid Fund - Regular Plan - Growth Option 05-10-2009 7.28 7.27 6.98 5.53 6.28
Groww Liquid Fund (formerly known as Indiabulls Liquid Fund) - Regular Plan - Growth Option 25-10-2011 7.28 7.24 6.83 5.35 6.18
DSP Liquidity Fund - Regular Plan - Growth 20-11-2005 7.27 7.24 6.92 5.48 6.22
Invesco India Liquid Fund - Growth 17-11-2006 7.26 7.25 6.93 5.49 6.23
PGIM India Liquid Fund - Growth 05-09-2007 7.26 7.22 6.92 5.48 6.27
Canara Robeco Liquid Fund - Regular Plan - Growth Option 05-07-2008 7.25 7.26 6.97 5.49 6.13

PORTFOLIO ANALYSIS of HSBC Liquid Fund - Regular Growth

Asset Allocation (%)

Allocation Percentage (%)

Market Cap Distribution

Others

100.0%

Total

100%