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7009.05
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1397.6
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444.25
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2600.25
[2.80]
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1269.4
[-1.78]
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10710.85
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264.05
[-2.33]
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1834
[0.41]
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404.65
[-0.41]
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302.85
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5519.2
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1347.7
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456.35
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2196.75
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487.6
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608.4
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1293
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166.5
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781.2
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5321.5
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2287.9
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1043
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1264.8
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673.3
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949.85
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1179.2
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307.4
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1246.2
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380.55
[0.32]
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3973.6
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2377.9
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3321.7
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13739.9
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32.11
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1478.65
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74.92
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88.8
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402.2
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279.25
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107.2
[-1.79]
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313.9
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1435.7
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1019.55
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296.45
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338.75
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1847.3
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436
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2394.85
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1463.05
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11956
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1281.1
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197.95
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95.08
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NAV HISTORY
You can view the history of all NAV. Search for the scheme to get more details.
HSBC Corporate Bond Fund - DirectPlan
Fund :
HSBC Mutual Fund
Category :
Debt - Income
Type :
Open Ended
NAV(
07/05/2026
)
81.4239
Percentage Returns :
1 Month Ago :
0.99%
3 Months Ago :
1.06%
1 Year Ago :
5.49%
Choose Option :
Annual IDCW Reinvestment
Growth
Halfyearly IDCW Reinvestment
IDCW-Annual
IDCW-Half Yearly
IDCW-Quarterly
Quarterly IDCW Reinvestment
2026
2025
2024
2023
2022
2026
Open :
80.45
Close :
81.42
Return(%) :
1.21
Month
NAV
Return
Open (Rs.)
Close (Rs.)
Percentage
January
80.4451
80.3422
-0.12
February
80.3400
81.0304
0.85
March
81.0611
80.7098
-0.43
April
80.5474
81.1105
0.69
May
81.2089
81.4239
0.26
January
80.4451
80.3422
-0.12
February
80.3400
81.0304
0.85
March
81.0611
80.7098
-0.43
April
80.5474
81.1105
0.69
May
81.2089
81.4239
0.26
January
80.4451
80.3422
-0.12
February
80.3400
81.0304
0.85
March
81.0611
80.7098
-0.43
April
80.5474
81.1105
0.69
May
81.2089
81.4239
0.26
January
80.4451
80.3422
-0.12
February
80.3400
81.0304
0.85
March
81.0611
80.7098
-0.43
April
80.5474
81.1105
0.69
May
81.2089
81.4239
0.26
January
80.4451
80.3422
-0.12
February
80.3400
81.0304
0.85
March
81.0611
80.7098
-0.43
April
80.5474
81.1105
0.69
May
81.2089
81.4239
0.26