HDFC Floating Rate Debt - Direct Plan - Growth Option

Fixed IncomeFloating Rate
52.58
-0.02(-0.04%)
NAV as on 09 Dec, 2025
CAGR
8.24%

Top Performer

This scheme has consistently delivered the best returns in its Floating Rate category across .

Returns
  • AUM (Crs.)15,548.72
  • Expense Ratio0.26 %
  • Sharpe Ratio / Category Average2.31 / 1.25
  • Standard Deviation / Category Average0.62 / 1.05
  • Beta / Category Average5.55 / 6.75
  • Portfolio Turnover / Category Average34.48 / 275.48
  • Top 5 Debt Holdings Wt.31.75
  • Top 10 Debt Holdings Wt.41.65
  • Investment StyleLimited Sensitivity High Quality
  • Morningstar Rating

Performance

Absolute and Annualised Returns

Yearly Returns

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Portfolio

Asset Allocation

  • Equity%
  • Debt%
  • Cash%
  • Derivatives%

Weightage by Credit Rating

    Concentration

    • No. of Debt Holdingsundefined
    • Top 10 Debt Holdingsundefined%
    • Top 5 Debt Holdingsundefined%
    View Holdings

    Fundamentals

    MeasuresFund

    Risk Metrics

    Peers

    1Y3Y5Y10Y
    Mutual FundAUM (cr.)3YReturns

    Holdings

    Stocks
    Sector

    About

    • Fund Manager(s)Check History
      Shobhit Mehrotra, Dhruv Muchhal
    • Launch Date01 Jan, 2013
    • BenchmarkS&P BSE 500

    Objective

    To generate income/capital appreciation through investment in a portfolio comprising substantially of floating rate debt, fixed rate debt instruments swapped for floating rate returns and money market instruments. There is no assurance that the investment objective of the Scheme will be realized.

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