HDFC Liquid Fund - Premium Plan - Daily Dividend
Fund house :HDFC Asset Management Company Limited | Categeory:Liquid Funds | Launch: Feb 16, 2004
Liquid400013
as on May 21, 2012
12.2598
0.0000 (0.00%)
YTD Return(%)
2.94
Turnover Ratio(%)
508.13
Asset Size (Rs. cr)
8,57,093.71
Expense Ratio
0.18
52W LOW
52W HIGH
12.26
12.26
Volatility(%)
0.17

price chart

News

No News found.

Trailing Returns

In (%)schemecategorysensexnifty
1-Week0.140.15-1.17-0.96
1-Month0.600.66-6.26-6.54
3-Months1.891.91-13.04-13.32
1-Year7.126.63-10.93-9.77
2-Years6.214.87-1.28-0.85
3-Years5.304.545.274.67
5-Years5.725.402.142.59

Scheme Portfolio

Allocation %
Other34.82
Bank - Public26.92
Bank - Private17.09
Finance - NBFC16.08
Finance - Investment2.82
HOLDINGSValue (`. Cr)Hold(%)
Axis Bank Ltd.0.003.79
National Housing Bank0.005.96
Punjab National Bank0.004.98
Corporation Bank0.004.96
Bajaj Finance Ltd.0.003.50

AUM Movements

` in Cr.

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Dividend history

DATEDIVIDEND (`. / UNIT)
05-21-20120.00
05-20-20120.00
05-18-20120.00
05-17-20120.00
05-16-20120.00

load information

Fund Type Open ended scheme
Min. InvestmentN.A.
Exit Load0.00%
Comments Exit Loadnil

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AMC Details

AMC Name
HDFC Asset Management Company Limited
Fund Manager
Mr. Shobhit Mehrotra
Registered Office:
Roman House, 3rd floor, H T Prakash Marg
169 Backbay Reclamation, Churchgate
Mumbai - 400 020
Tel :+91 (22) 66316333
Fax : +91 (22) 22821144

PLAN

OptionsNAVDate
Growth
(Institutional)
21.80May-21, 2012
Growth
(Institutional Plus)
21.85May-21, 2012
Growth
(Regular)
21.48May-21, 2012
Daily-Dividend
(Institutional)
12.26May-21, 2012
Daily-Dividend
(Regular)
10.20May-21, 2012