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HDFC Asset Management Company LimitedOthers, 04-04-2025: Portfolio

04-04-2025 · 04:57 pm

HDFC has announced a board meeting to discuss the financial results for the quarter and half-year. The total net asset value (NAV) for the portfolio stands at ₹46,063.80 crore, predominantly composed of government securities and state development loans (SDLs), which make up 98.64% of the total assets. The portfolio reflects a yield to maturity (YTM) of 6.91%, indicating solid performance in the fixed-income space. Investors may perceive these results as a positive outlook due to the fund’s stability and low credit risk associated with its holdings.

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