HDFC Asset Management Company Limited — Others, 01-01-2025: Portfolio
01-01-2025 | 04:28 pm
01-01-2025 | 04:28 pm
HDFC has announced a board meeting to discuss the financial results for the quarter and half-year ending October 31, 2024. The company reported a net asset value (NAV) of ₹ 31,326.52 per unit for various funds, reflecting a robust portfolio primarily composed of government securities, capital market instruments, and equities in top sectors such as financial services and IT. With significant holdings in leading banks and blue-chip companies, the management underscores its strategy aimed at maximizing investor returns. This update should be seen positively, given HDFC's solid financial health and diverse investment strategy.
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