Mutual Funds
HDFC Hybrid Debt Fund Growth
OVERVIEW FUND INFO PORTFOLIO

Morningstar Rating™

Morningstar® Category
India OE Balanced -Conservative Allocation
Total Net Assets (mil)
30,925.26 INR
Morningstar® Benchmark
CRISIL Hybrid 85+15 -ConservativeTR INR
Used throughout report
Fund Benchmark
15% Nifty 50 TR INR, 85% Nifty Composite Debt Index TR INR


TRAILING RETURNS (%) FUND BENCHMARK CATEGORY
3M 3.36 0.01 1.96
6M 7.38 3.53 4.55
1Y 17.43 7.10 12.52
3Y* 11.00 10.75 8.37
5Y* 10.24 8.92 7.66
10Y* 10.25 9.76 7.74
*Annualised Return Data Through 15/03/2024
QUARTERLY RETURNS (%) Q1 Q2 Q3 Q4
2024 - - --
2023 0.66 4.993.214.43
2022 0.82 -2.163.86 3.46
2021 3.01 5.10 4.28 0.41
2020 -6.69 4.40 3.37 9.41
RISK MEASURES
3Y Alpha 3.28
3Y Beta 1.02
3Y R-Squared 70.25
3Y Info Ratio 1.66
3Y Tracking Error 2.16
3Y Sharpe Ratio 1.41
3Y Std Dev 4.02
3Y Risk Avg
5Y Risk Avg
10Y Risk abv avg
Calculations use CRISIL Hybrid 85+15 -ConservativeTR INR (where applicable)

Morningstar Style BoxTM


*Report as of 18 Mar 2024


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