HSBC Corporate Bond Direct-idcw Half-yearly

  • 3 Months
  • 6 Months
  • 1 Year
  • 3 Years
  • 5 Years
  • RSI
3 Months Returns : 1.70%
Fund NAV

Fund Overview of HSBC Corporate Bond Direct-idcw Half-yearly

  • ₹5,786.5 Cr
    AUM
  • ₹19.88
    NAV
  • 0.30%
    Expense Ratio
  • Debt
    Fund Category
As on Wed Jun 17, 2026
Calculate your Returns
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Minimum amount you can invest: ₹500

Maximum amount you can invest: ₹1,00,000

We have used a return rate of 15% for our calculations.

The total value of your investment after 10 years will be
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Returns of HSBC Corporate Bond Direct-idcw Half-yearly

Tenure Absolute(%) Annualised(%) Category Average(%)
3 Months 1.70% NA 0.77%
6 Months 2.56% NA 4.70%
1 Year 5.30% 5.30% 8.70%
2 Years 15.77% 7.59% 8.37%
3 Years 23.51% 7.29% 7.76%
5 Years 35.51% 6.27% 6.43%
7 Years 63.98% 7.32% NA
10 Years 105.66% 7.48% 7.56%
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As on Wed Jun 17, 2026

Dividend of HSBC Corporate Bond Direct-idcw Half-yearly : 7.80%

Dividends are declared by the fund house based on the income generated from the underlying assets. While many mutual funds distribute dividends annually, the payout frequency ultimately depends on the fund house’s decision

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Asset Allocation

debt instruments

99.41%

other assets or cash equivalents

0.59%
Top Holdings
Indian Oil Corporation Limited Sr Xiv 7.41 Loa 22ot29 Fvrs10lac
5.50%
Power Grid Corporation Of India Limited Sr I 8.24 Loa 14fb29 Fvrs10lac
4.87%
National Bank For Agriculture And Rural Development Sr 25e 7.53 Bd 24mr28 Fvrs1lac
3.05%
Ntpc Limited Sr 69 7.32 Loa 17jl29 Fvrs10lac
3.01%
Government Of India 36232 Goi 21jl30 6.01 Fv Rs 100
2.93%
 
Top Sectors
Financial
46.71%
Energy & Utilities
18.12%
Entities
8.40%
Industrials
7.69%
Unspecified
6.48%
Detailed Portfolio Analysis
As on Wed Jun 17, 2026
Invest Now

About Fund

About HSBC Corporate Bond Direct-idcw Half-yearly

HSBC Corporate Bond Direct-idcw Half-yearly is one Debt mutual fund offered by HSBC Mutual Fund. Launched on 01 Jan 2013, the fund aims Generation of regular and stable income over medium to long term. Investment predominantly in AA+ and above rated corporate bonds and money market instruments. It manages assets worth ₹5,786.5 crore as on Sun May 31, 2026. The expense ratio stands at 0.3%.
The portfolio allocation consists of 99.41% in debt instruments, 0.59% in other assets or cash equivalents.Managed by Shriram Ramanathan, it has delivered a return of 5.30% in the last year, a total return since inception of 7.60%.
The latest dividend was declared on 27 Mar 2026 at 7.80% of face value.
Selecting a suitable best sip plan plays an important role for systematic investing.

Read more
  • Asif Rizwi

    Fund Manager

  • Mr. Rizwi has done B.Tech and PGDM from IIM-C

    Manager Education

  • Shriram Ramanathan

    Fund Manager

  • Shriram is a B.E. (Electrical), PGDBM from XLRI Jamshedpur and CFA.

    Manager Education

Key Metrics of HSBC Corporate Bond Direct-idcw Half-yearly

  • Standard Deviation
    1.37%
  • Sharpe Ratio
    0.59%

Fund Details

Fund Names HSBC Corporate Bond Direct-idcw Half-yearly
Inception Date 01 Jan 2013
Lock In No Lock-in
 
Risk Principal at moderate risk
Category Average Annual Returns 8.70
More Details

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Top Performing Mutual Funds

Fund Names AUM (Cr) 1M 3M 1Yr 3Yr 5Yr
Nippon India Corporate Bond Fund Direct-growth trend ₹9,393 1.35% 1.69% 5.07% 7.62% 6.87%
Nippon India Corporate Bond Fund Direct-idcw trend ₹9,393 1.35% 1.69% 5.07% 7.62% 6.87%
Nippon India Corporate Bond Fund Direct-idcw Daily trend ₹9,393 1.35% 1.69% 5.07% 7.62% 6.87%
Nippon India Corporate Bond Fund Direct-idcw Monthly trend ₹9,393 1.35% 1.69% 5.07% 7.62% 6.87%
Nippon India Corporate Bond Fund Direct-idcw Quarterly trend ₹9,393 1.35% 1.69% 5.07% 7.62% 6.87%
Nippon India Corporate Bond Fund Direct-idcw Weekly trend ₹9,393 1.35% 1.69% 5.07% 7.62% 6.87%
ICICI Prudential Corporate Bond Fund Direct Plan-growth trend ₹31,740 1.35% 1.74% 5.77% 7.66% 6.82%
ICICI Prudential Corporate Bond Fund Direct Plan-idcw Monthly trend ₹31,740 1.35% 1.74% 5.77% 7.66% 6.82%
ICICI Prudential Corporate Bond Fund Direct Plan-idcw Quarterly trend ₹31,740 1.35% 1.74% 5.77% 7.66% 6.82%
Axis Corporate Bond Fund Direct-growth trend ₹8,359 1.35% 1.81% 5.47% 7.80% 6.81%
View More
increase growth is based on 1-month returns of the funds & Top fund are based on 3Y Returns

More funds from HSBC Mutual Fund

Fund Names AUM (Cr) 1M 3M 6M 1Yr 3Yr
HSBC Corporate Bond-growth increase ₹5,787 1.28% 1.62% 2.41% 5.01% 6.95%
HSBC Corporate Bond Direct-growth increase ₹5,787 1.31% 1.70% 2.56% 5.30% 7.29%
HSBC Corporate Bond-idcw Half Yearly increase ₹5,787 1.28% 1.62% 2.41% 5.01% 6.95%
HSBC Corporate Bond-idcw Quarterly increase ₹5,787 1.28% 1.62% 2.41% 5.01% 6.95%
HSBC Corporate Bond Direct-idcw Quarterly increase ₹5,787 1.31% 1.70% 2.56% 5.30% 7.29%
HSBC Corporate Bond-idcw Yearly increase ₹5,787 1.28% 1.62% 2.41% 5.01% 6.95%
HSBC Corporate Bond Direct-idcw Yearly increase ₹5,787 1.31% 1.70% 2.56% 5.30% 7.29%
View More
increase growth is based on 1-month returns of the funds

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Top Mutual Funds

Fund Names AUM (Cr) NAV 3Yr 5Yr 10Yr
ICICI Prudential Corporate Bond Fund-growth trend ₹31,740 ₹31.55 7.42% 6.56% 7.29%
ICICI Prudential Corporate Bond Fund Direct Plan-growth trend ₹31,740 ₹33.11 7.66% 6.82% 7.60%
ICICI Prudential Corporate Bond Fund-idcw Monthly trend ₹31,740 ₹10.49 7.42% 6.56% 7.29%
ICICI Prudential Corporate Bond Fund Direct Plan-idcw Monthly trend ₹31,740 ₹10.34 7.66% 6.82% 7.60%
ICICI Prudential Corporate Bond Fund-idcw Quarterly trend ₹31,740 ₹11.26 7.42% 6.56% 7.29%
ICICI Prudential Corporate Bond Fund Direct Plan-idcw Quarterly trend ₹31,740 ₹15.57 7.66% 6.82% 7.60%
HDFC Corporate Bond Fund Regular-growth trend ₹31,067 ₹34.04 7.07% 6.11% 7.31%
HDFC Corporate Bond Fund Direct Plan-growth trend ₹31,067 ₹34.87 7.34% 6.39% 7.53%
HDFC Corporate Bond Fund Regular-idcw trend ₹31,067 ₹20.61 7.07% 6.11% 7.31%
HDFC Corporate Bond Fund Direct Plan-idcw trend ₹31,067 ₹21.36 7.34% 6.39% 7.53%
View More
Top funds are based on Fund AUM

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Detailed Portfolio

Stocks Sector % of Holding Value
Indian Oil Corporation Limited Sr Xiv 7.41 Loa 22ot29 Fvrs10lacEnergy & Utilities5.50%₹318.40 Cr
Power Grid Corporation Of India Limited Sr I 8.24 Loa 14fb29 Fvrs10lacEnergy & Utilities4.87%₹281.61 Cr
National Bank For Agriculture And Rural Development Sr 25e 7.53 Bd 24mr28 Fvrs1lacFinancial3.05%₹176.61 Cr
Ntpc Limited Sr 69 7.32 Loa 17jl29 Fvrs10lacEnergy & Utilities3.01%₹174.27 Cr
Government Of India 36232 Goi 21jl30 6.01 Fv Rs 100Entities2.93%₹169.73 Cr
Ntpc Limited Series 67 8.30 Loa 15jn29 Fvrs10lacEnergy & Utilities2.89%₹167.48 Cr
Small Industries Development Bank Of India Sr Iv 7.44 Bd 10ap28 Fvrs1lacFinancial2.69%₹155.69 Cr
Power Finance Corporation Limited Sr 246a 7.42 Bd 15ap28 Fvrs1lacFinancial2.63%₹152.21 Cr
Government Of India 34539 Goi 03ju29 7.04 Fv Rs 100Entities2.44%₹141.45 Cr
National Highways Authority Of India Sr Iv 7.49 Bd 01ag29 Fvrs10lacIndustrials2.37%₹137.26 Cr
Small Industries Development Bank Of India Sr V 7.83 Bd 24nv28 Fvrs1lacFinancial2.16%₹124.72 Cr
Housing And Urban Development Corporation Limited Series V 8.41 Loa 15mr29 Fvrs10lacFinancial2.15%₹124.65 Cr
Power Finance Corporation Ltd. Sr Bs221b 7.59 Bd 17jn28 Fvrs10lacFinancial2.14%₹123.74 Cr
Radhakrishna Securitisation Trust Rk Trust Ptc 15sept252.13%₹123.34 Cr
National Highways Authority Of India Sr V 7.70 Bd 13sp29 Fvrs10lacIndustrials1.91%₹110.68 Cr
Lic Housing Finance Limited Tr- 359 7.95 Loa 29jn28 Fvrs10lacFinancial1.86%₹107.74 Cr
Bajaj Housing Finance Limited 8.10 Ncd 08jl27 Fvrs1lacFinancial1.85%₹107.32 Cr
Government Of India 35368 Goi 23dc29 6.75 Fv Rs 100Entities1.79%₹103.36 Cr
Export Import Bank Of India Sr Z02 7.40 Bd 14mr29 Fvrs1lacFinancial1.75%₹101.00 Cr
State Development Loan 22279 Kar 09ot28 7.15 Fv Rs 100Unspecified1.74%₹100.82 Cr
Embassy Office Parks Reit Sr Xiii B 7.22 Ncd 16my28 Fvrs1lacReal Estate1.73%₹99.94 Cr
Jio Finance Limited Sr 1 7.19 Ncd 15mr28 Fvrs1lacFinancial1.56%₹90.04 Cr
Rec Limited Sr 245a 7.44 Bd 29fb28 Fvrs1lacFinancial1.40%₹81.05 Cr
Indian Railway Finance Corporation Limited Series 133 8.35 Loa 13mr29 Fvrs10lacFinancial1.38%₹80.09 Cr
State Development Loan 22612 Kar 08jn30 7.16 Fv Rs 100Unspecified1.32%₹76.64 Cr
Power Finance Corporation Limited Sr 248b 7.45 Ncd 15jl28 Fvrs1lacFinancial1.31%₹75.74 Cr
Rec Limited Sr 216a 7.55 Bd 31mr28 Fvrs10lacFinancial1.31%₹75.64 Cr
Bharti Telecom Limited Sr Xxix 7.75 Ncd 29fb28 Fvrs1lacTechnology1.30%₹75.48 Cr
Sundaram Finance Limited Sr Z2 7.18 Ncd 16my28 Fvrs1lacFinancial1.28%₹74.04 Cr
Hdfc Bank Limited Sr V004 8.55 Ncd 27mr29 Fvrs10lacFinancial1.28%₹73.78 Cr
Bajaj Housing Finance Limited 7.02 Ncd 26my28 Fvrs1lacFinancial1.27%₹73.74 Cr
7.37% Goi Cg 23-10-2028Entities1.24%₹72.01 Cr
Hindustan Zinc Limited Strpp 3 7.75 Ncd 20mr28 Fvrs1acMaterials1.14%₹65.70 Cr
Mindspace Business Parks Reit Sr Ncd14 7 Ncd 14sp27 Fvrs1lacReal Estate1.12%₹65.02 Cr
Reliance Industries Limited Series H 8.95 Ncd 09nv28 Fvrs10lacEnergy & Utilities0.93%₹53.91 Cr
Tata Cleantech Capital Limited Sr A Fy 2020-21 8 Ncd 10sp27 Fvrs10lacFinancial0.93%₹53.85 Cr
National Highways Authority Of India Sr Iii 7.80 Bd 26ju29 Fvrs10lacIndustrials0.93%₹53.76 Cr
Reliance Industries Limited Sr Ia 8.70 Ncd 11dc28 Fvrs10lacEnergy & Utilities0.92%₹53.23 Cr
Kotak Mahindra Prime Limited 8.13 Ncd 18ag27 Fvrs1lacFinancial0.92%₹53.21 Cr
Bajaj Finance Limited 8.12 Ncd 10sp27 Fvrs1lacFinancial0.92%₹52.98 Cr
Kotak Mahindra Prime Limited 7.9866 Ncd 17sp27 Fvrs10lacFinancial0.91%₹52.73 Cr
National Highways Authority Of India Series V 8.49 Bd 05fb29 Fvrs10lacIndustrials0.90%₹52.25 Cr
Tata Capital Limited Sr D Strpp Ii 8.0980 Ncd 23sp27 Fvrs1lacFinancial0.90%₹52.02 Cr
Bharti Telecom Limited Sr Xxv 7.35 Ncd 15ot27 Fvrs1lacTechnology0.89%₹51.69 Cr
State Development Loan 21541 Kar 27mr29 8.06 Fv Rs 100Unspecified0.89%₹51.68 Cr
Bajaj Finance Limited 7.7951 Ncd 10dc27 Fvrs1lacFinancial0.89%₹51.60 Cr
Rural Electrification Corporation Limited Series Goi-v 8.54 Bd 15nv28 Fvrs10lacFinancial0.89%₹51.23 Cr
Bharti Telecom Limited Sr Xxvii 7.30 Ncd 01dc27 Fvrs1lacTechnology0.88%₹51.12 Cr
Bharti Telecom Limited Sr Xxvi 7.45 Ncd 15dc28 Fvrs1lacTechnology0.88%₹50.64 Cr
Tata Capital Limited Sr B Rr Ncd 21fb29 Fvrs1lacFinancial0.87%₹50.29 Cr
National Bank For Agriculture And Rural Development Sr 26f 7.44 Bd 17jl29 Fvrs1lacFinancial0.87%₹50.23 Cr
Indian Railway Finance Corporation Limited Sr 172b 7.45 Bd 13ot28 Fvrs1lacFinancial0.87%₹50.21 Cr
Bajaj Finance Limited 7.77 Ncd 17ap29 Fvrs1lacFinancial0.86%₹50.02 Cr
Embassy Office Parks Reit Sr Xiii A 7.21 Ncd 17mr28 Fvrs1lacReal Estate0.86%₹50.00 Cr
National Bank For Agriculture And Rural Development Sr 25g 7.48 Bd 15sp28 Fvrs1lacFinancial0.81%₹47.08 Cr
National Highways Authority Of India Series Iv 8.37 Bd 21jn29 Fvrs10lacIndustrials0.79%₹45.98 Cr
Mindspace Business Parks Reit Sr Ncd16 6.9601 Ncd 08dc28 Fvrs1lacReal Estate0.79%₹45.97 Cr
Export Import Bank Of India Sr Z01 7.45 Bd 12ap28 Fvrs1lacFinancial0.79%₹45.84 Cr
State Development Loan 32838 Mh 12ap28 7.36 Fv Rs 100Unspecified0.79%₹45.64 Cr
National Bank For Agriculture And Rural Development Sr 25c 7.44 Bd 24fb28 Fvrs1lacFinancial0.79%₹45.60 Cr
Bajaj Finance Limited 7.95 Sr 286 Tr 8 Loa 25ot27 Fvrs10lacFinancial0.63%₹36.58 Cr
Rec Limited Sr 251 6.95 Bd 18fb28 Fvrs1lacFinancial0.61%₹35.20 Cr
RepoUnspecified0.60%₹34.59 Cr
State Development Loan 22875 Mh 24mr29 7.78 Fv Rs 100Unspecified0.53%₹30.81 Cr
Housing And Urban Development Corporation Limited Sr C 6.52 Ncd 06ju28 Fvrs1lacFinancial0.48%₹27.71 Cr
Housing And Urban Development Corporation Limited Series I 8.6 Bd 12nv28 Fvrs10lacFinancial0.44%₹25.69 Cr
National Bank For Agriculture And Rural Development Sr 23i 7.62 Loa 31jn28 Fvrs1lacFinancial0.44%₹25.62 Cr
National Bank For Agriculture And Rural Development Sr 26a 6.66 Bd 12ot28 Fvrs1lacFinancial0.44%₹25.44 Cr
Embassy Office Parks Reit Sr Viii 8.10 Loa 28ag28 Fvrs1lacReal Estate0.44%₹25.38 Cr
Embassy Office Parks Reit Sr Xi 7.96 Ncd 27sp27 Fvrs1lacReal Estate0.44%₹25.34 Cr
State Development Loan 29758 Guj 02dc29 6.49 Fv Rs 100Industrials0.43%₹25.17 Cr
Indian Railway Finance Corporation Limited Sr 131 8.55 Loa 21fb29 Fvrs10lacFinancial0.37%₹21.47 Cr
Others Class A2 AifUnspecified0.37%₹21.32 Cr
State Development Loan 34797 Guj 14ag28 7.05 Fv Rs 100Industrials0.36%₹20.88 Cr
State Development Loan 37207 Tn 11mr29 6.64 Fv Rs 100Unspecified0.25%₹14.71 Cr
Pay_ois% &rec_6.69%_20/02/29Financial0.01%₹0.38 Cr
Net PayablesUnspecified-0.01%₹-3.51 Cr
View More

Top Debt Funds

increase growth is based on 5Y returns of the funds

Frequently Asked Questions

HSBC Corporate Bond Direct-idcw Half-yearly

What is the current AUM of HSBC Corporate Bond Direct-idcw Half-yearly?

As of Sun May 31, 2026, HSBC Corporate Bond Direct-idcw Half-yearly manages assets worth ₹5,786.5 crore

How has HSBC Corporate Bond Direct-idcw Half-yearly performed recently?

  • 3 Months: 1.70%
  • 6 Months: 2.56%

What is the long-term performance of HSBC Corporate Bond Direct-idcw Half-yearly?

  • 3 Years CAGR: 7.29%
  • 5 Years CAGR: 6.27%
  • Since Inception: 7.60%

What is the portfolio composition of HSBC Corporate Bond Direct-idcw Half-yearly?

Debt: 99.41%, Others: 0.59%.

Who manages HSBC Corporate Bond Direct-idcw Half-yearly?

HSBC Corporate Bond Direct-idcw Half-yearly is managed by Shriram Ramanathan from HSBC Mutual Fund.

When was the last dividend declared by HSBC Corporate Bond Direct-idcw Half-yearly?

Latest dividend was declared on 27 Mar 2026 at 7.80% of face value.

Which are the top companies HSBC Corporate Bond Direct-idcw Half-yearly has invested in?

  • INDIAN OIL CORPORATION LIMITED SR XIV 7.41 LOA 22OT29 FVRS10LAC – 5.50% of the fund's portfolio
  • POWER GRID CORPORATION OF INDIA LIMITED SR I 8.24 LOA 14FB29 FVRS10LAC – 4.87% of the fund's portfolio
  • NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT SR 25E 7.53 BD 24MR28 FVRS1LAC – 3.05% of the fund's portfolio
  • NTPC LIMITED SR 69 7.32 LOA 17JL29 FVRS10LAC – 3.01% of the fund's portfolio
  • GOVERNMENT OF INDIA 36232 GOI 21JL30 6.01 FV RS 100 – 2.93% of the fund's portfolio

Which are the major sectors HSBC Corporate Bond Direct-idcw Half-yearly focuses on?

  • Financial – 46.71% of the fund's portfolio
  • Energy & Utilities – 18.12% of the fund's portfolio
  • Entities – 8.40% of the fund's portfolio
  • Industrials – 7.69% of the fund's portfolio
  • Unspecified – 6.48% of the fund's portfolio
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