HSBC Midcap Fund - Regular Growth

Category: Equity: Mid Cap
Launch Date: 09-08-2004
Asset Class:
Benchmark: NIFTY Midcap 150 TRI
Expense Ratio: 1.73% As on (31-10-2024)
Status: Open Ended Schemes
Minimum Investment: 5000.0
Minimum Topup: 1000.0
Total Assets: 11,767.99 Cr As on (31-10-2024)
Turn over: 55%
NAV as on 22-11-2024

382.4916

2.88 (0.7529%)

CAGR Since Inception

19.66%

NIFTY Midcap 150 TRI 17.92%

PERFORMANCE of HSBC Midcap Fund - Regular Growth

Scheme Performance (%)

Data as on - 22-11-2024

Yearly Performance (%)

Fund Managers

Venugopal Manghat, Cheenu Gupta, Sonal Gupta

Investment Objective

The scheme seeks to generate long-term capital growth from an actively managed portfolio of equity and equity related securities of predominantly mid cap companies.

NAV & Lumpsum details( Invested amount 1,00,000)

Show All Monthly Lumpsum Returns
NAV Date NAV Units Market
Value
Returns
(%)
09-08-2004 10.0 10000.0 100000 0.0 %
09-09-2004 11.08 - 110800 10.8 %
11-10-2004 11.65 - 116500 16.5 %
09-11-2004 12.28 - 122800 22.8 %
09-12-2004 12.8 - 128000 28.0 %
10-01-2005 13.85 - 138500 38.5 %
09-02-2005 14.69 - 146900 46.9 %
09-03-2005 15.26 - 152600 52.6 %
11-04-2005 15.07 - 150700 50.7 %
09-05-2005 15.38 - 153800 53.8 %
09-06-2005 15.9 - 159000 59.0 %
11-07-2005 16.56 - 165600 65.6 %
09-08-2005 17.98 - 179800 79.8 %
09-09-2005 19.28 - 192800 92.8 %
10-10-2005 19.54 - 195400 95.4 %
09-11-2005 18.81 - 188100 88.1 %
09-12-2005 20.5 - 205000 105.0 %
09-01-2006 21.85 - 218500 118.5 %
10-02-2006 22.85 - 228500 128.5 %
09-03-2006 23.58 - 235800 135.8 %
10-04-2006 25.37 - 253700 153.7 %
09-05-2006 25.83 - 258300 158.3 %
09-06-2006 19.01 - 190100 90.1 %
10-07-2006 19.77 - 197700 97.7 %
09-08-2006 20.56 - 205600 105.6 %
11-09-2006 22.49 - 224900 124.9 %
09-10-2006 24.54 - 245400 145.4 %
09-11-2006 25.18 - 251800 151.8 %
11-12-2006 25.72 - 257200 157.2 %
09-01-2007 27.04 - 270400 170.4 %
09-02-2007 27.32 - 273200 173.2 %
09-03-2007 23.64 - 236400 136.4 %
09-04-2007 24.35 - 243500 143.5 %
09-05-2007 25.98 - 259800 159.8 %
11-06-2007 27.21 - 272100 172.1 %
09-07-2007 29.83 - 298300 198.3 %
09-08-2007 29.84 - 298400 198.4 %
10-09-2007 30.78 - 307800 207.8 %
09-10-2007 32.9 - 329000 229.0 %
12-11-2007 36.1 - 361000 261.0 %
10-12-2007 40.61 - 406100 306.1 %
09-01-2008 43.99 - 439900 339.9 %
11-02-2008 32.18 - 321800 221.8 %
10-03-2008 30.16 - 301600 201.6 %
09-04-2008 29.12 - 291200 191.2 %
09-05-2008 31.63 - 316300 216.3 %
09-06-2008 27.95 - 279500 179.5 %
09-07-2008 25.38 - 253800 153.8 %
11-08-2008 27.75 - 277500 177.5 %
09-09-2008 27.08 - 270800 170.8 %
10-10-2008 18.05 - 180500 80.5 %
10-11-2008 18.18 - 181800 81.8 %
10-12-2008 15.71 - 157100 57.1 %
09-01-2009 16.38 - 163800 63.8 %
09-02-2009 15.18 - 151800 51.8 %
09-03-2009 13.43 - 134300 34.3 %
09-04-2009 17.33 - 173300 73.3 %
11-05-2009 19.02 - 190200 90.2 %
09-06-2009 26.92 - 269200 169.2 %
09-07-2009 24.99 - 249900 149.9 %
10-08-2009 27.96 - 279600 179.6 %
09-09-2009 30.58 - 305800 205.8 %
09-10-2009 32.53 - 325300 225.3 %
09-11-2009 33.77 - 337700 237.7 %
09-12-2009 35.34 - 353400 253.4 %
11-01-2010 37.14 - 371400 271.4 %
09-02-2010 35.32 - 353200 253.2 %
09-03-2010 36.88 - 368800 268.8 %
09-04-2010 38.46 - 384600 284.6 %
10-05-2010 37.15 - 371500 271.5 %
09-06-2010 36.18 - 361800 261.8 %
09-07-2010 39.2 - 392000 292.0 %
09-08-2010 40.85 - 408500 308.5 %
09-09-2010 43.45 - 434500 334.5 %
11-10-2010 45.51 - 455100 355.1 %
09-11-2010 47.02 - 470200 370.2 %
09-12-2010 41.43 - 414300 314.3 %
10-01-2011 40.93 - 409300 309.3 %
09-02-2011 35.69 - 356900 256.9 %
09-03-2011 37.57 - 375700 275.7 %
11-04-2011 39.7 - 397000 297.0 %
09-05-2011 38.51 - 385100 285.1 %
09-06-2011 39.1 - 391000 291.0 %
11-07-2011 39.13 - 391300 291.3 %
09-08-2011 36.38 - 363800 263.8 %
09-09-2011 36.52 - 365200 265.2 %
10-10-2011 34.34 - 343400 243.4 %
09-11-2011 35.38 - 353800 253.8 %
09-12-2011 33.13 - 331300 231.3 %
09-01-2012 31.32 - 313200 213.2 %
09-02-2012 36.49 - 364900 264.9 %
09-03-2012 36.6 - 366000 266.0 %
09-04-2012 37.25 - 372500 272.5 %
09-05-2012 35.54 - 355400 255.4 %
11-06-2012 35.55 - 355500 255.5 %
09-07-2012 37.06 - 370600 270.6 %
09-08-2012 37.7 - 377000 277.0 %
10-09-2012 38.34 - 383400 283.4 %
09-10-2012 40.04 - 400400 300.4 %
09-11-2012 40.1 - 401000 301.0 %
10-12-2012 42.19 - 421900 321.9 %
09-01-2013 43.21 - 432100 332.1 %
11-02-2013 40.73 - 407300 307.3 %
11-03-2013 39.56 - 395600 295.6 %
09-04-2013 37.19 - 371900 271.9 %
09-05-2013 40.03 - 400300 300.3 %
10-06-2013 39.37 - 393700 293.7 %
09-07-2013 37.98 - 379800 279.8 %
12-08-2013 36.53 - 365300 265.3 %
10-09-2013 37.32 - 373200 273.2 %
09-10-2013 39.74 - 397400 297.4 %
11-11-2013 41.07 - 410700 310.7 %
09-12-2013 42.73 - 427300 327.3 %
09-01-2014 44.72 - 447200 347.2 %
10-02-2014 43.2 - 432000 332.0 %
10-03-2014 46.28 - 462800 362.8 %
09-04-2014 50.3 - 503000 403.0 %
09-05-2014 52.04 - 520400 420.4 %
09-06-2014 63.26 - 632600 532.6 %
09-07-2014 64.79 - 647900 547.9 %
11-08-2014 65.27 - 652700 552.7 %
09-09-2014 72.4 - 724000 624.0 %
09-10-2014 73.28 - 732800 632.8 %
10-11-2014 76.83 - 768300 668.3 %
09-12-2014 79.44 - 794400 694.4 %
09-01-2015 82.57 - 825700 725.7 %
09-02-2015 82.62 - 826200 726.2 %
09-03-2015 87.54 - 875400 775.4 %
09-04-2015 89.93 - 899300 799.3 %
11-05-2015 83.37 - 833700 733.7 %
09-06-2015 82.51 - 825100 725.1 %
09-07-2015 87.14 - 871400 771.4 %
10-08-2015 93.4 - 934000 834.0 %
09-09-2015 85.68 - 856800 756.8 %
09-10-2015 89.14 - 891400 791.4 %
09-11-2015 87.05 - 870500 770.5 %
09-12-2015 87.01 - 870100 770.1 %
11-01-2016 90.17 - 901700 801.7 %
09-02-2016 81.94 - 819400 719.4 %
09-03-2016 80.02 - 800200 700.2 %
11-04-2016 83.45 - 834500 734.5 %
09-05-2016 85.91 - 859100 759.1 %
09-06-2016 89.06 - 890600 790.6 %
11-07-2016 95.55 - 955500 855.5 %
09-08-2016 98.46 - 984600 884.6 %
09-09-2016 102.22 - 1022200 922.2 %
10-10-2016 105.71 - 1057100 957.1 %
09-11-2016 103.71 - 1037100 937.1 %
09-12-2016 101.58 - 1015800 915.8 %
09-01-2017 101.84 - 1018400 918.4 %
09-02-2017 111.15 - 1111500 1011.5 %
09-03-2017 111.25 - 1112500 1012.5 %
10-04-2017 120.09 - 1200900 1100.9 %
09-05-2017 126.79 - 1267900 1167.9 %
09-06-2017 129.27 - 1292700 1192.7 %
10-07-2017 132.95 - 1329500 1229.5 %
09-08-2017 131.38 - 1313800 1213.8 %
11-09-2017 137.58 - 1375800 1275.8 %
09-10-2017 138.57 - 1385700 1285.7 %
09-11-2017 144.82 - 1448200 1348.2 %
11-12-2017 145.79 - 1457900 1357.9 %
09-01-2018 155.36 - 1553600 1453.6 %
09-02-2018 144.17 - 1441700 1341.7 %
09-03-2018 139.46 - 1394600 1294.6 %
09-04-2018 143.76 - 1437600 1337.6 %
09-05-2018 145.8 - 1458000 1358.0 %
11-06-2018 140.76 - 1407600 1307.6 %
09-07-2018 138.18 - 1381800 1281.8 %
09-08-2018 141.56 - 1415600 1315.6 %
10-09-2018 140.14 - 1401400 1301.4 %
09-10-2018 122.15 - 1221500 1121.5 %
09-11-2018 130.44 - 1304400 1204.4 %
10-12-2018 126.96 - 1269600 1169.6 %
09-01-2019 131.79 - 1317900 1217.9 %
11-02-2019 123.05 - 1230500 1130.5 %
11-03-2019 131.53 - 1315300 1215.3 %
09-04-2019 134.44 - 1344400 1244.4 %
09-05-2019 127.35 - 1273500 1173.5 %
10-06-2019 131.7 - 1317000 1217.0 %
09-07-2019 128.16 - 1281600 1181.6 %
09-08-2019 121.08 - 1210800 1110.8 %
09-09-2019 119.83 - 1198300 1098.3 %
09-10-2019 124.55 - 1245500 1145.5 %
11-11-2019 130.07 - 1300700 1200.7 %
09-12-2019 129.79 - 1297900 1197.9 %
09-01-2020 134.7 - 1347000 1247.0 %
10-02-2020 141.19 - 1411900 1311.9 %
09-03-2020 126.67 - 1266700 1166.7 %
09-04-2020 103.88 - 1038800 938.8 %
11-05-2020 107.58 - 1075800 975.8 %
09-06-2020 114.8 - 1148000 1048.0 %
09-07-2020 121.53 - 1215300 1115.3 %
10-08-2020 129.94 - 1299400 1199.4 %
09-09-2020 131.22 - 1312200 1212.2 %
09-10-2020 136.84 - 1368400 1268.4 %
09-11-2020 141.38 - 1413800 1313.8 %
09-12-2020 154.35 - 1543500 1443.5 %
11-01-2021 164.45 - 1644500 1544.5 %
09-02-2021 166.14 - 1661400 1561.4 %
09-03-2021 173.52 - 1735200 1635.2 %
09-04-2021 178.23 - 1782300 1682.3 %
10-05-2021 178.31 - 1783100 1683.1 %
09-06-2021 188.05 - 1880500 1780.5 %
09-07-2021 194.33 - 1943300 1843.3 %
09-08-2021 199.4 - 1994000 1894.0 %
09-09-2021 207.23 - 2072300 1972.3 %
11-10-2021 218.0 - 2180000 2080.0 %
09-11-2021 217.26 - 2172600 2072.6 %
09-12-2021 206.86 - 2068600 1968.6 %
10-01-2022 210.11 - 2101100 2001.1 %
09-02-2022 202.25 - 2022500 1922.5 %
09-03-2022 191.3 - 1913000 1813.0 %
11-04-2022 208.99 - 2089900 1989.9 %
09-05-2022 189.42 - 1894200 1794.2 %
09-06-2022 190.12 - 1901200 1801.2 %
11-07-2022 193.57 - 1935700 1835.7 %
10-08-2022 204.42 - 2044200 1944.2 %
09-09-2022 212.33 - 2123300 2023.3 %
10-10-2022 207.42 - 2074200 1974.2 %
09-11-2022 209.3 - 2093000 1993.0 %
09-12-2022 212.2684 - 2122684 2022.68 %
09-01-2023 208.9913 - 2089913 1989.91 %
09-02-2023 207.233 - 2072330 1972.33 %
09-03-2023 206.9643 - 2069643 1969.64 %
10-04-2023 205.1631 - 2051631 1951.63 %
09-05-2023 210.6464 - 2106464 2006.46 %
09-06-2023 220.4908 - 2204908 2104.91 %
10-07-2023 229.763 - 2297630 2197.63 %
09-08-2023 241.8162 - 2418162 2318.16 %
11-09-2023 258.6951 - 2586951 2486.95 %
09-10-2023 252.7841 - 2527841 2427.84 %
09-11-2023 262.7821 - 2627821 2527.82 %
11-12-2023 285.0053 - 2850053 2750.05 %
09-01-2024 294.6346 - 2946346 2846.35 %
09-02-2024 307.5718 - 3075718 2975.72 %
11-03-2024 313.1537 - 3131537 3031.54 %
09-04-2024 326.4784 - 3264784 3164.78 %
09-05-2024 323.9982 - 3239982 3139.98 %
10-06-2024 352.2898 - 3522898 3422.9 %
09-07-2024 382.0768 - 3820768 3720.77 %
09-08-2024 378.159 - 3781590 3681.59 %
09-09-2024 389.7673 - 3897673 3797.67 %
09-10-2024 406.3601 - 4063601 3963.6 %
11-11-2024 388.281 - 3882810 3782.81 %
22-11-2024 382.4916 - 3824916 3724.92 %

RETURNS CALCULATOR for HSBC Midcap Fund - Regular Growth

Growth of 10000 In SIP (Fund vs Benchmark)

Amount :
Period :
Start :
End :

Growth of 10000 In LUMPSUM (Fund vs Benchmark)

Amount :
Start :

Rolling Returns

Rolling returns are the annualized returns of the scheme taken for a specified period (rolling returns period) on every day/week/month and taken till the last day of the duration. In this chart we are showing the annualized returns over the rolling returns period on every day from the start date and comparing it with the benchmark. Rolling returns is the best measure of a fund's performance. Trailing returns have a recency bias and point to point returns are specific to the period in consideration. Rolling returns, on the other hand, measures the fund's absolute and relative performance across all timescales, without bias.

Riskometer

riskometer

Key Performance and Risk Statistics of HSBC Midcap Fund - Regular Growth

Key Statistics Volatility Sharpe Ratio Alpha Beta Yield to Maturity Average Maturity
HSBC Midcap Fund - Regular Growth 12.61 1.17 2.89 0.79 - -
Equity: Mid Cap - - - - - -

PEER COMPARISION of HSBC Midcap Fund - Regular Growth

Amount :
Start :
End :
Period
Data as on - 22-11-2024
Scheme Name Launch
Date
1-Year
Ret (%)
2-Yrs
Ret (%)
3-Yrs
Ret (%)
5-Yrs
Ret (%)
10-Yrs
Ret (%)
HSBC Midcap Fund - Regular Growth 09-08-2004 41.6 35.7 22.82 24.01 17.04
Motilal Oswal Midcap Fund-Regular Plan-Growth Option 02-02-2014 57.88 43.94 33.55 32.03 20.3
Invesco India Midcap Fund - Growth Option 19-04-2007 45.26 35.17 23.18 27.28 17.7
Edelweiss Mid Cap Fund - Regular Plan - Growth Option 26-12-2007 44.79 35.61 24.51 29.55 18.84
ITI Mid Cap Fund - Regular Plan - Growth Option 05-03-2021 40.74 33.59 20.89 0.0 0.0
Franklin India Prima Fund-Growth 01-12-1993 38.36 32.42 20.42 22.86 16.05
ICICI Prudential MidCap Fund - Growth 10-10-2004 38.36 29.18 19.95 24.34 15.3
Sundaram Mid Cap Fund Regular Plan - Growth 01-07-2002 38.28 33.94 23.25 24.34 15.97
JM Midcap Fund (Regular) - Growth 21-11-2022 38.22 0.0 0.0 0.0 0.0
Kotak Emerging Equity Scheme - Growth 30-03-2007 38.09 30.85 21.95 27.03 18.71

PORTFOLIO ANALYSIS of HSBC Midcap Fund - Regular Growth

Asset Allocation (%)

Allocation Percentage (%)

Market Cap Distribution

Small Cap

13.21%

Others

1.57%

Large Cap

19.33%

Mid Cap

65.89%

Total

100%