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Hdfc Liquid Fund -direct Plan Weekly Dividend Payout Option (0P0000XW8B)

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Condition

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1,031.372 +0.120    +0.01%
25/02 - Delayed Data. Currency in INR ( Disclaimer )
Type:  Fund
Market:  India
ISIN:  INF179KB1HW5 
Asset Class:  Other
  • Morningstar Rating:
  • Total Assets: 620.5B
HDFC Liquid Fund -Direct Plan Weekly Dividend Payo 1,031.372 +0.120 +0.01%
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Rating
1-Year Change0.01%
Prev. Close1,031.254
Risk Rating
TTM Yield3.68%
ROEN/A
IssuerN/A
Turnover556.84%
ROAN/A
Inception DateJan 01, 2013
Total Assets620.5B
Expenses0.20%
Min. Investment5,000
Market CapN/A
CategoryLiquid
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Performance

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Condition

Frequency

Once
%

Frequency

Frequency

Delivery Method

Status

YTD 3M 1Y 3Y 5Y 10Y
Growth of 1000 1002 1007 1038 1141 1260 -
Fund Return 0.24% 0.75% 3.75% 4.51% 4.74% -
Place in category 374 263 250 231 180 -
% in Category 55 37 38 43 40 -

Top Other Funds by HDFC Asset Management Company Limited

  Name Rating Total Assets YTD% 3Y% 10Y%
  HDFC Liquid Premium Daily DRIP 634.23B 1.29 4.94 5.52
  HDFC Liquid Premium Growth 634.23B 1.80 7.15 7.80
  HDFC Liquid Monthly Dividend Payout 620.5B 0.23 4.51 5.82
  HDFC Liquid Daily Div Reinvestment 620.5B 0.23 4.27 5.63
  HDFC Liquid Fund Growth 620.5B 0.23 5.83 7.65

Top Funds for Liquid Category

  Name Rating Total Assets YTD% 3Y% 10Y%
  HDFC Liquid Premium Daily DRIP 634.23B 1.29 4.94 5.52
  HDFC Liquid Premium Growth 634.23B 1.80 7.15 7.80
  HDFC Liquid Monthly Dividend Payout 620.5B 0.23 4.51 5.82
  HDFC Liquid Daily Div Reinvestment 620.5B 0.23 4.27 5.63
  HDFC Liquid Fund Growth 620.5B 0.23 5.83 7.65

Top Holdings

Name ISIN Weight % Last Change %
91 DTB 18022021 IN002020X340 14.47 - -
91 DTB 25022021 IN002020X357 9.09 - -
364 DTB 11022021 IN002019Z479 3.69 - -
182 DTB 11032021 IN002020Y231 3.32 - -
91 DTB 25032021 IN002020X407 3.30 - -

Technical Summary

Type Daily Weekly Monthly
Moving Averages Sell Strong Sell Sell
Technical Indicators Sell Sell Sell
Summary Sell Strong Sell Sell
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