HDFC Credit Risk Debt (Debt, Debt Credit Risk)

Moderate
4 yrs 9 monthsStarted on:25 Mar 2014
₹ 17134.68 Cras on: 18 Dec 2018
Mid Term & Long Horizon
1.63%
Income Generation

Minimum Investment

  • ₹ 5000.00 for Lumpsum

Investment Objective

The scheme seeks to generate income/capital appreciation by investing predominantly in AA and below rated corporate debt.

Exit Load

An open-ended Income Scheme - Current Load Structure : Entry Load: Not Applicable; Exit Load: In respect of each purchase/switch-in of units from allotment date, Nil exit load upto 15% of the units (the limit) redeemed/switched-out; 2% if units in excess of the limit are redeemed /switched-out within 12 Months; 1% if units in excess of the limit are redeemed/switched-out after 12 Months but within 24 Months; 0.50% if units in excess of the limit are redeemed/switched-out after 24 Months but within 36 Months. No Exit Load if units are redeemed/switched-out after 36 months. Applicable for the subscriptions made w.e.f. 27-Jul-2016. The rate of exit load levied on units redeemed will be the rate prevailing at the time of allotment of the units. For further details visit www.hdfcfund.com or contact any of our Investor Service Centre.Service Tax registration number : AAATH1809ASD001

Scheme Documents

Similar Funds
SBI Credit Risk
Current NAV 1114.25
Return (CAGR) 7.67%
Crisil Ranking 4
Value Research
ICICI Pru Credit Risk
Current NAV 1114.25
Return (CAGR) 8.57%
Crisil Ranking 5
Value Research
UTI Credit Risk
Current NAV 1114.25
Return (CAGR) 8.45%
Crisil Ranking 3
Value Research
Reliance Credit Risk
Current NAV 1114.25
Return (CAGR) 7.04%
Crisil Ranking 4
Value Research
Principal Credit Risk
Current NAV 1114.25
Return (CAGR) 7.58%
Crisil Ranking NA
Value Research
DSP Credit Risk
Current NAV 1114.25
Return (CAGR) 6.95%
Crisil Ranking 3
Value Research
Baroda Pioneer Credit Risk Plan A
Current NAV 1114.25
Return (CAGR) 8.94%
Crisil Ranking NA
Value Research
Aditya Birla SL Credit Risk
Current NAV 1114.25
Return (CAGR) 8.36%
Crisil Ranking 4
Value Research
Axis Credit Risk
Current NAV 1114.25
Return (CAGR) 8.19%
Crisil Ranking 5
Value Research

Tenure

TenureReturns (CAGR)
YTD4.99
1 Month1.00
3 Month2.25
1 YR4.81
2 YR5.85
3 YR7.66

SIP Returns

TenureReturns (CAGR)
1 YR6.19
2 YR5.41
3 YR6.29

Portfolio

Company Name% Assets
Tata International Ltd. 9.30%4.15
HDFC Bank Ltd. 31/12/2099 8.85%2.6
Adani Rail Infra Pvt. Ltd. 07/04/20192.1
Sikka Ports and Terminals Ltd. 12/06/2023 8.45%2.03
Jamnagar Utilities and Power Pvt. Ltd. 26/04/2023 8.95%1.93
Talwandi Sabo Power Ltd. 04/08/2020 7.85%1.9
NUVOCO Vistas Corp Ltd. 14/09/2020 8.57%1.89
Tata Steel Ltd. 23/04/2022 2.00%1.87
Muthoot Finance Ltd. 19/06/2021 8.75%1.85
Shriram Transport Finance Co. Ltd. 11/20181.7

Top Sectoral Holdings

Sector Name% Assets

Indicators

LabelValue
Standard Deviation2.14%
Beta0.8%
Sharpe Ratio0.46

Shobhit Mehrotra,Rakesh Vyas

He is an MBA from Clemson University, USA.Mr. Vyas is a B.E (Electrical) and PGDM (Business Management) from XLRI Jamshedpur.
Prior to joining HDFC AMC he has worked with Templeton AMC, and ICRA.Prior to joining HDFC Mutual Fund in 2009 he has worked with Lehman Brothers and Nomura.

Other Funds Managed by Shobhit Mehrotra,Rakesh Vyas

© CRISIL Limited 2017. All Rights Reserved