HDFC Asset Management Company Limited — Others, 05-02-2025: Portfolio
05-02-2025 | 11:23 am
05-02-2025 | 11:23 am
HDFC has announced a board meeting to discuss the financial results for the quarter and half-year ending January 31, 2025. The firm reported a net asset value (NAV) of ₹5,186.16 Lacs, primarily composed of government securities and state development loans, indicating a focus on low-risk investments. The annualized portfolio yield to maturity (YTM) stands at 6.68%, reflecting a stable return environment. This development suggests a continued commitment to conservative asset management. Investors may view this as a positive outlook, given the strong focus on sovereign debt in a potentially volatile market.
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