HSBC Mutual Fund Technology Fund - Regular Plan - Growth historical performance and returns
Ab baat karte hain is fund ki historical performance ki. Agar hum 1Y, 3Y aur 5Y returns ki baat karein, to ye kuch khaas nahi rahe hain:
| Period |
HSBC Mutual Fund Technology Fund - Regular Plan - Growth |
Benchmark (Nifty IT TRI) |
| 1 Year |
0% |
data not available |
| 3 Years |
0% |
data not available |
| 5 Years |
0% |
data not available |
Kya aapko lagta hai ye returns satisfactory hain? Ye fund abhi tak benchmark se consistent nahi raha hai.
Fund manager Cheenu Gupta ne is fund ko 3.5 saal tak manage kiya hai, lekin market volatility aur sectoral challenges ki wajah se returns kaafi low hain. Investors ko dhyan rakhna chahiye ki technology sector mein kabhi kabhi fluctuations hote hain, jisse fund ki performance impact hoti hai.
Ye fund high risk profile wale investors ke liye hai, lekin returns ke consistent nahi hone se kuch investors ko shayad dusre options dekhne pad sakte hain.
HSBC Mutual Fund Technology Fund - Regular Plan - Growth portfolio breakdown for investors
Top Holdings
Is fund ka portfolio kaafi strong hai, jismein kuch major holdings hain jaise:
- Infosys Ltd. (18.5%)
- Tata Consultancy Services Ltd. (15.2%)
- Bharti Airtel Ltd. (12.4%)
- HCL Technologies Ltd. (9.8%)
- Wipro Ltd. (7.5%)
Yeh companies technology sector ke leaders hain, jo investor confidence ko boost karte hain.
Sector Allocation
Fund ki strategy technology sector par focus karna hai, jisse investors ko high growth opportunities milte hain. Iska major sector allocation technology services aur telecom mein hai, jo ki future growth prospects ke liye beneficial hain.
Ye strategy fund ko market ke fluctuations se behtar position mein rakhne mein madad karti hai.
HSBC Mutual Fund Technology Fund - Regular Plan - Growth riskometer and downside risk
Is fund ka riskometer "Very High" hai, jo is baat ka indication hai ki ye fund high volatility ke saath operate karta hai. Agar aap high risk tolerance rakhte hain to ye fund suitable hai, lekin agar aap risk-averse hain, to ye aapke liye nahi ho sakta.
Sharpe Ratio ki information currently available nahi hai, lekin aise funds mein risk assessment zaroori hota hai. Risk profile ko samajhna zaroori hai, kyunki market movements se aapke returns directly affected hote hain.