HSBC Overnight Fund

HSBC Mutual Fund

Debt › Overnight
₹1000.0000
0.0000 (+0.00%)
NAV on 4 Oct 2026

NAV history

What if you had invested?

Computed from this fund's actual NAVs. A SIP buys at the first NAV of each month and is valued at the latest NAV. Past returns do not guarantee future ones.

Portfolio as of 30 Sep 2026

Weights are % of the scheme's assets from the latest month-end disclosure available to Tradinity. Shown from the Direct plan of this fund, which holds the same portfolio. The feed carries weights only: no quantities or rupee values.

Holdings
9
Top 5 / top 10
98.1% / 100.0%
Largest holding
49.3%
Mapped to Tradinity companies
0%
Portfolio P/E
—
Portfolio ROE
—
Portfolio dividend yield
—
Largest sector
Others 49.7%

Valuation ratios are weighted over the holdings we can match to a company (harmonic mean for P/E) and are withheld when they cover under half the portfolio.

Asset allocation

Cash & Equivalents93.57%
Treasury Bills6.43%

Sector allocation

Click a sector to filter the holdings below (holdings map to our sector list where the company is known).

Holdings

Export CSV
HoldingSectorWeight3M changeP/E
Reverse Repos — 49.33% -25.10 pp —
Treps — 43.87% 24.77 pp —
182 Days Treasury Bill 22-Oct-2026 — 3.01% 3.01 pp —
364Days TBILL 15-Oct-2026 — 1.04% 1.04 pp —
91 Days Treasury Bill 29-Oct-2026 — 0.83% 0.83 pp —
182Days TBILL 15-Oct-2026 — 0.73% 0.73 pp —
91 Days Treasury Bill 08-Oct-2026 — 0.62% 0.62 pp —
Net Current Assets (including cash & bank balances) — 0.36% 0.05 pp —
91 Days Treasury Bill 15-Oct-2026 — 0.21% 0.21 pp —

This is a paid feature

Comparing more months of this fund's own portfolio history is available on paid plans.

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Fund details

Fund houseHSBC Mutual Fund
AMFI scheme code150501
CategoryDebt › Overnight
AMFI categoryOpen Ended Schemes(Income/Debt Oriented Schemes - Overnight Fund)
Plan / option— / —
ISIN—
NAV history from25 Jul 2022
NAV points on record1,454

Cost and size

Expense ratio (plan, Sep 2026)
0.14%
Assets under management
—

Expense ratio by month: Oct 25 0.14% · Nov 25 0.14% · Dec 25 0.14% · Jan 26 0.14% · Feb 26 0.14% · Mar 26 0.14% · Apr 26 0.16% · May 26 0.15% · Jun 26 0.15% · Jul 26 0.15% · Aug 26 0.14% · Sep 26 0.14%

The scheme information document (exit load, minimum investment, fund managers, objective, benchmark, riskometer) is not loaded for this fund yet.

Fund house: website · factsheets · monthly portfolio · annual report

Not available: Morningstar rating (proprietary). "NAV history from" is the first NAV we hold.

Other plans of this fund

Returns are computed by Tradinity from each scheme's own published NAV, so they are net of the fund's expenses. Periods over one year are annualised (CAGR). Past performance does not indicate future returns. Only Growth-option schemes are ranked: an IDCW scheme pays cash out of its NAV, so its NAV understates what an investor earned.