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HSBC Dynamic Term Fund — Regular Plan · Monthly IDCW

151085

Net asset value

₹10.5857

Source / date

MFAPI (AMFI-sourced NAV) · 2026-10-01

Mutual fund NAV is a dated end-of-day scheme value, not an exchange-traded quote. Plans and payout options can have different NAVs. Company P/E-based scores, DCF valuation and forensic analysis do not apply to this listing; the analysis below uses the framework appropriate to its investment type.

DeepScreen investment analysis

Mutual fund analysis

Refreshed 10/3/2026, 1:59:53 PM

Sources used: MFAPI (AMFI-sourced NAV history) · IN history 2022-11-30 to 2026-10-01
1

Scheme and process

Scheme identity, category, benchmark and plan structure from the available official and NAV sources.

Fund house
HSBC Mutual Fund
Scheme type
Open Ended Schemes
Category
Income/Debt Oriented Schemes - Dynamic Term Fund
Plan
Regular
Option
IDCW
2

Performance

AMFI-published performance is preferred where available; NAV-history calculations fill the remaining periods.

1Y return
0.14%
3Y annualized return
-0.26%
3Y rolling median
-0.15%
3

Risk-adjusted quality

Official AMFI risk parameters are used when AMFI publishes them for the matched category; otherwise realized NAV-history measures are shown.

3Y max drawdown
-4.72%
5Y max drawdown
-4.72%
3Y volatility
3.48%
5Y volatility
3.2%
4

Cost and capacity

Plan costs, current size and entry/exit information where AMFI publishes it.

Latest NAV
₹10.5857

NAV history date: 2026-10-01

DeepScreen displays verified values returned by its current sources. Metrics without a verified value are omitted rather than shown as empty placeholder cards.

Investment FAQ

Questions about HSBC Dynamic Term Fund — Regular Plan · Monthly IDCW

Research answers for HSBC Dynamic Term Fund — Regular Plan · Monthly IDCW (151085) using the analysis framework appropriate to a mutual fund.

Mutual fund FAQ

What is HSBC Dynamic Term Fund — Regular Plan · Monthly IDCW (151085)?
HSBC Dynamic Term Fund — Regular Plan · Monthly IDCW is listed by DeepScreen as an Indian mutual fund scheme. Its NAV is a dated per-unit scheme value rather than an exchange-traded stock price. Use the scheme's stated category, benchmark, plan type, portfolio, manager record, risk measures and costs together when researching it.
How should I analyze HSBC Dynamic Term Fund — Regular Plan · Monthly IDCW?
Start with HSBC Dynamic Term Fund — Regular Plan · Monthly IDCW's objective and benchmark, then compare multi-year and rolling returns, drawdowns, volatility and risk-adjusted measures with relevant peers. Review portfolio concentration, manager tenure, TER, turnover and exit load where disclosed. For Indian schemes, compare Direct and Regular plans like-for-like because their expenses and NAVs can differ.
What costs should I check for HSBC Dynamic Term Fund — Regular Plan · Monthly IDCW?
Check the current total expense ratio, whether the listing is a Direct or Regular plan, portfolio turnover and any applicable exit load. Costs reduce investor returns over time, so compare the correct plan and option rather than relying on a scheme name alone.
Is HSBC Dynamic Term Fund — Regular Plan · Monthly IDCW a good mutual fund to invest in?
DeepScreen does not make a personalized investment recommendation. Whether HSBC Dynamic Term Fund — Regular Plan · Monthly IDCW is suitable depends on the scheme mandate, risk, cost, portfolio, time horizon and how it fits an investor's broader financial situation. Use the analysis as research input and verify the latest scheme documents before making a decision.