HSBC Mutual Fund
59 funds, 282 schemes. NAV as on 26 Aug 2026, from AMFI's daily file. Each plan and option is a separate scheme with its own code and its own NAV — they are listed under the fund they belong to.
What this house runs
Its funds by SEBI category, counted by fund rather than by scheme. It is the quickest way to read a fund house — where its attention is, and where it has nothing at all.
Every scheme
Grouped by fund. Returns are point-to-point CAGR from AMFI NAV, shown for the Growth option once a scheme has enough history; an IDCW scheme shows a dash because a return read from a NAV that has had payouts stripped out of it would understate the fund.
HSBC Aggressive Hybrid Active FOF (erstwhile HSBC Managed Solutions India - Growth fund)
Fund of FundsHSBC Aggressive Hybrid Fund
Aggressive Hybrid- Direct Plan · Annual IDCW code 151125 · INF917K01TY5 ₹20.01 — — —
- Direct Plan · Growth code 151122 · INF917K01LE4 ₹69.37 8.1% 14.9% —
- Direct Plan · IDCW code 151123 · INF917K01E45 ₹34.16 — — —
- Regular Plan · Annual IDCW code 151124 · INF917K01TW9 ₹17.63 — — —
- Regular Plan · Growth code 151120 · INF917K01LB0 ₹60.36 6.9% 13.7% —
- Regular Plan · IDCW code 151121 · INF917K01KZ1 ₹28.28 — — —
HSBC Arbitrage Fund
Arbitrage- Direct Plan · Growth code 151138 · INF917K01QR5 ₹21.80 6.7% 7.4% —
- Direct Plan · Monthly IDCW code 151135 · INF917K01QT1 ₹10.20 — — —
- Direct Plan · Quarterly IDCW code 151136 · INF917K01QV7 ₹10.84 — — —
- Regular Plan · Growth code 151134 · INF917K01QL8 ₹20.23 6.1% 6.7% —
- Regular Plan · Monthly IDCW code 151140 · INF917K01QN4 ₹10.20 — — —
- Regular Plan · Quarterly IDCW code 151137 · INF917K01QP9 ₹10.70 — — —
HSBC Asia Pacific (Ex Japan) Dividend Yield Fund
Fund of FundsHSBC Balanced Advantage Fund
Balanced AdvantageHSBC Banking and PSU Debt Fund
Banking & PSU- Direct Plan · Daily IDCW code 151108 ₹11.16 — — —
- Direct Plan · Growth code 151107 · INF917K01HH5 ₹27.19 5.4% 7.1% —
- Direct Plan · Monthly IDCW code 151106 · INF917K01HJ1 ₹11.18 — — —
- Direct Plan · Weekly IDCW code 151109 ₹10.32 — — —
- Regular Plan · Daily IDCW code 151102 ₹11.08 — — —
- Regular Plan · Growth code 151104 · INF677K01AE7 ₹25.72 5.0% 6.7% —
- Regular Plan · Monthly IDCW code 151105 · INF677K01AI8 ₹10.37 — — —
- Regular Plan · Weekly IDCW code 151103 ₹10.29 — — —
HSBC Brazil Fund
Fund of FundsHSBC Business Cycles Fund
Sectoral / ThematicHSBC CRISIL IBX 50:50 Gilt Plus SDL Apr 2028 Index Fund
Index FundsHSBC CRISIL IBX Gilt June 2027 Index Fund
Index FundsHSBC Conservative Hybrid Fund
Conservative Hybrid- Direct Plan · Growth code 120073 · INF336L01DW4 ₹72.15 4.4% 9.8% 8.4%
- Direct Plan · Monthly IDCW code 120074 · INF336L01DX2 ₹17.38 — — —
- Direct Plan · Quarterly IDCW code 120075 · INF336L01DZ7 ₹15.05 — — —
- Regular Plan · Growth code 102262 · INF336L01099 ₹63.79 3.4% 8.9% 7.3%
- Regular Plan · Monthly IDCW code 102260 · INF336L01107 ₹12.88 — — —
- Regular Plan · Quarterly IDCW code 102261 · INF336L01123 ₹16.98 — — —
HSBC Consumption Fund
Sectoral / ThematicHSBC Corporate Bond Fund
Corporate Bond- Direct Plan · Annual IDCW code 151000 · INF917K01VZ8 ₹11.80 — — —
- Direct Plan · Growth code 150996 · INF917K01HN3 ₹83.10 — — —
- Direct Plan · Quarterly IDCW code 150998 · INF917K01HP8 ₹11.32 — — —
- Direct Plan · Semi Annual IDCW code 150997 · INF917K01HR4 ₹20.09 — — —
- Regular Plan · Annual IDCW code 151001 · INF917K01WB7 ₹11.51 — — —
- Regular Plan · Bonus code 150995 · INF917K01AK4 ₹29.54 — — —
- Regular Plan · Growth code 150992 · INF917K01AH0 ₹77.77 — — —
- Regular Plan · Quarterly IDCW code 150993 · INF917K01AF4 ₹10.89 — — —
- Regular Plan · Semi Annual IDCW code 150994 · INF917K01AI8 ₹16.74 — — —
HSBC Credit Risk Fund
Credit Risk- Direct Plan · Annual IDCW code 151047 · INF917K01UL0 ₹13.68 — — —
- Direct Plan · Growth code 151045 · INF917K01UH8 ₹37.71 6.7% 11.8% —
- Direct Plan · IDCW code 151044 · INF917K01E29 ₹12.37 — — —
- Regular Plan · Annual IDCW code 151046 · INF917K01UN6 ₹12.51 — — —
- Regular Plan · Bonus code 151041 ₹33.96 — — —
- Regular Plan · Growth code 151043 · INF917K01130 ₹34.51 6.0% 11.0% —
- Regular Plan · IDCW code 151042 · INF917K01114 ₹11.25 — — —
HSBC Dynamic Term Fund
- Direct Plan · Annual IDCW code 151088 · INF917K01VN4 ₹10.84 — — —
- Direct Plan · Growth code 151087 · INF917K01HA0 ₹33.50 — — —
- Direct Plan · Monthly IDCW code 151086 · INF917K01GZ9 ₹12.70 — — —
- Regular Plan · Annual IDCW code 151089 · INF917K01VP9 ₹10.29 — — —
- Regular Plan · Growth code 151084 · INF677K01916 ₹30.77 — — —
- Regular Plan · Monthly IDCW code 151085 · INF677K01924 ₹10.66 — — —
HSBC ELSS Tax saver Fund
ELSS (Tax Saving)HSBC Equity Savings Fund
Equity Savings- Direct Plan · Growth code 151060 · INF917K01GE4 ₹41.38 9.8% 14.1% —
- Direct Plan · Monthly IDCW code 151061 · INF917K01E37 ₹17.66 — — —
- Direct Plan · Quarterly IDCW code 151059 · INF917K01GD6 ₹18.49 — — —
- Regular Plan · Growth code 151058 · INF917K01AA5 ₹36.95 8.8% 13.1% —
- Regular Plan · Monthly IDCW code 151056 · INF917K01965 ₹15.45 — — —
- Regular Plan · Quarterly IDCW code 151057 · INF917K01981 ₹16.58 — — —
HSBC Financial Services fund
Sectoral / ThematicHSBC Fixed Term Series 125 (1114 days plan)
HSBC Fixed Term Series 126 (1138 days plan)
HSBC Fixed Term Series 128 (1106 days plan)
HSBC Fixed Term Series 129 (1120 days plan)
HSBC Fixed Term Series 130 (1204 days plan)
HSBC Fixed Term Series 131 (1140 days plan)
HSBC Fixed Term Series 132 (1149 days plan)
HSBC Fixed Term Series 133 (1134 days plan)
HSBC Fixed Term Series 134 (1118 days plan)
HSBC Fixed Term Series 135 (1117 days plan)
HSBC Fixed Term Series 136 (1145 days plan)
HSBC Fixed Term Series 137 (1187 days plan)
HSBC Fixed Term Series 139 (1163 days plan)
HSBC Fixed Term Series 140 (1147 days plan)
HSBC Flexi Cap Fund
Flexi CapHSBC Focused Fund
FocusedHSBC Gilt Fund
Gilt FundsHSBC Global Emerging Markets Fund
Fund of FundsHSBC Gold ETF
Index FundsHSBC Gold ETF Fund of Fund
Fund of FundsHSBC Income Plus Arbitrage Active FOF (erstwhile HSBC Managed Solution India - Conservative Plan)
Fund of FundsHSBC India Export Opportunities Fund
Sectoral / ThematicHSBC Infrastructure Fund
Sectoral / ThematicHSBC Large & Mid Cap Fund
Mid CapHSBC Large Cap Fund
Large CapHSBC Liquid Fund
Liquid Funds- Direct Plan · Daily IDCW code 120037 ₹1,001.58 — — —
- Direct Plan · Monthly IDCW code 120039 · INF336L01BZ1 ₹1,038.06 — — —
- Direct Plan · Weekly IDCW code 120040 · INF336L01LK2 ₹1,195.34 — — —
- Regular Plan · Daily IDCW code 118901 ₹1,001.38 — — —
- Regular Plan · Direct code 120038 · INF336L01CC8 ₹2,821.83 — — —
- Regular Plan · Growth code 118902 · INF336L01BN7 ₹2,792.79 6.3% 6.9% 6.2%
- Regular Plan · Growth code 118907 · INF336L01BL1 ₹4,029.45 — — —
- Regular Plan · IDCW code 118906 ₹1,019.30 — — —
- Regular Plan · Institutional Daily IDCW code 118909 ₹1,562.83 — — —
- Regular Plan · Monthly IDCW code 118903 · INF336L01BP2 ₹1,002.46 — — —
- Regular Plan · Weekly IDCW code 118904 · INF336L01LJ4 ₹1,107.63 — — —
- Regular Plan · Weekly IDCW code 118908 ₹1,001.46 — — —
HSBC Medium Term Fund
- Direct Plan · Annual IDCW code 151150 · INF917K01WF8 ₹11.71 — — —
- Direct Plan · Growth code 151146 · INF917K01TK4 ₹23.90 — — —
- Direct Plan · IDCW code 151148 · INF917K01TM0 ₹11.56 — — —
- Regular Plan · Annual IDCW code 151151 · INF917K01WE1 ₹10.60 — — —
- Regular Plan · Growth code 151149 · INF917K01TH0 ₹21.73 — — —
- Regular Plan · IDCW code 151147 · INF917K01TJ6 ₹10.61 — — —
HSBC Medium to Long Term Fund
Long DurationHSBC Midcap Fund
Mid CapHSBC Money Market Fund
Money Market- Direct Plan · Daily IDCW code 151055 ₹10.86 — — —
- Direct Plan · Growth code 151054 · INF917K01FE6 ₹29.81 6.4% 7.3% —
- Direct Plan · Monthly IDCW code 151052 · INF917K01E86 ₹12.26 — — —
- Direct Plan · Weekly IDCW code 151053 ₹13.19 — — —
- Regular Plan · Daily IDCW code 151049 ₹10.86 — — —
- Regular Plan · Growth code 151048 · INF917K01BC9 ₹28.36 6.1% 7.1% —
- Regular Plan · Monthly IDCW code 151051 · INF917K01BB1 ₹11.60 — — —
- Regular Plan · Weekly IDCW code 151050 ₹13.10 — — —
HSBC Multi Asset Active FOF (erstwhile HSBC Managed Solutions India - Moderate Fund)
Fund of FundsHSBC Multi Asset Allocation Fund
Multi Asset AllocationHSBC Multi Cap Fund
Multi CapHSBC NIFTY 50 Index Fund
Index FundsHSBC NIFTY NEXT 50 Index Fund
Index FundsHSBC Overnight Fund
Overnight Funds- Direct Plan · Daily IDCW code 147291 ₹1,000.01 — — —
- Direct Plan · Growth code 147287 · INF336L01OF6 ₹1,438.92 5.3% 6.1% 5.7%
- Direct Plan · Monthly IDCW code 147300 · INF336L01OK6 ₹1,000.14 — — —
- Direct Plan · Weekly IDCW code 147296 · INF336L01OJ8 ₹1,000.16 — — —
- · code 150500 ₹1,000.00 — — —
- · code 150501 ₹1,000.00 — — —
- · code 150502 ₹1,277.05 — — —
- Regular Plan · Daily IDCW code 147289 ₹1,000.01 — — —
- Regular Plan · Growth code 147290 · INF336L01OL4 ₹1,426.44 5.2% 6.0% 5.6%
- Regular Plan · Monthly IDCW code 147301 · INF336L01OQ3 ₹1,000.14 — — —
- Regular Plan · Unclaimed IDCW Below three years code 150499 ₹1,277.03 — — —
- Regular Plan · Weekly IDCW code 147288 · INF336L01OP5 ₹1,000.18 — — —
HSBC Short Term Fund
- · code 151062 · INF917K01CM6 ₹28.12 — — —
- · code 151063 · INF917K01CH6 ₹11.06 — — —
- · code 151064 · INF917K01CJ2 ₹10.40 — — —
- · code 151065 · INF917K01CL8 ₹28.12 — — —
- · code 151067 · INF917K01IQ4 ₹29.93 — — —
- · code 151068 · INF917K01IP6 ₹11.74 — — —
- · code 151069 · INF917K01IS0 ₹11.26 — — —
- · code 151070 · INF917K01VR5 ₹12.24 — — —
- · code 151071 · INF917K01VT1 ₹11.65 — — —
HSBC Small Cap Fund
Small CapHSBC Ultra Short Term Fund
Ultra Short DurationHSBC Ultra Short to Short Term Fund
Ultra Short Duration- Direct Plan · Annual IDCW code 151118 · INF917K01VV7 ₹10.60 — — —
- Direct Plan · Growth code 151117 · INF917K01GM7 ₹32.56 — — —
- Direct Plan · Monthly IDCW code 151116 · INF917K01E60 ₹11.10 — — —
- Regular Plan · Annual IDCW code 151119 · INF917K01VX3 ₹10.40 — — —
- Regular Plan · Growth code 151114 · INF677K01452 ₹30.70 — — —
- Regular Plan · Monthly IDCW code 151115 · INF677K01460 ₹10.38 — — —
HSBC Value Fund
Value / ContraCompare these against other houses →
Questions people ask
How many schemes does HSBC Mutual Fund have?
282 live schemes across 59 distinct funds, as listed in AMFI's daily NAV file. One fund normally appears as several schemes — Direct and Regular plans, and Growth and IDCW options — each with its own scheme code and its own NAV.
Why does the same HSBC Mutual Fund fund appear more than once?
Because a plan and an option make a separate scheme. The Direct and Regular plans hold an identical portfolio but charge differently, so their NAVs diverge over time; the Growth and IDCW options differ in whether gains are paid out. Each combination has its own scheme code, which is why each gets its own page here.
Which plan of a HSBC Mutual Fund fund should I hold?
Direct, if you invest without an intermediary. It is the same portfolio without the distributor commission, so the expense ratio is lower and the NAV compounds ahead of the Regular plan of the identical fund — for as long as you hold it.
