HDFC Money Market Fund Direct Growth

Scheme code: INF179KB1HU9 NAV value: ₹ 5588.0720 NAV date: 20 December, 2024
Fund option: Direct Fund type: Growth
Asset class: Debt Asset category: Money Market Fund

Rolling returns

Summary

Duration Min Max Average XIRR (%) Category average XIRR (%)
1 year 6.88 8.52 7.65 7.44
3 year 5.24 6.76 6.00 5.9
5 year 5.98 6.42 6.20 6

Rolling return for 1 year

Average return: 7.65
Min Max Min-Max Max-Min Standard Deviation Mean From To
7.87 7.79 8.39 7.27 0.4 7.83 11-2023 11-2024
7.7 7.81 8.35 7.16 0.42 7.76 10-2023 10-2024
7.68 7.74 8.33 7.09 0.44 7.71 09-2023 09-2024
7.62 7.64 8.21 7.05 0.41 7.63 08-2023 08-2024
7.56 7.62 8.23 6.95 0.45 7.59 07-2023 07-2024
7.62 7.55 8.16 7.02 0.4 7.59 06-2023 06-2024
7.63 7.59 8.26 6.97 0.46 7.61 05-2023 05-2024
7.71 7.65 8.28 7.07 0.43 7.68 04-2023 04-2024
7.74 7.69 8.52 6.91 0.57 7.72 03-2023 03-2024
7.55 7.72 8.22 7.06 0.41 7.64 02-2023 02-2024
7.48 7.55 8.09 6.95 0.4 7.52 01-2023 01-2024
7.49 7.47 8.09 6.88 0.43 7.48 12-2022 12-2023

Rolling return for 3 year

Average return: 6.00
Min Max Min-Max Max-Min Standard Deviation Mean From To
6.58 6.63 6.76 6.46 0.11 6.61 11-2021 11-2024
6.43 6.57 6.64 6.35 0.11 6.5 10-2021 10-2024
6.3 6.43 6.51 6.21 0.12 6.36 09-2021 09-2024
6.21 6.28 6.41 6.09 0.12 6.25 08-2021 08-2024
6.12 6.22 6.34 6 0.13 6.17 07-2021 07-2024
6.03 6.1 6.2 5.92 0.1 6.06 06-2021 06-2024
5.9 6.01 6.1 5.8 0.11 5.95 05-2021 05-2024
5.82 5.9 6.01 5.71 0.11 5.86 04-2021 04-2024
5.7 5.81 5.96 5.55 0.15 5.76 03-2021 03-2024
5.58 5.71 5.79 5.49 0.12 5.64 02-2021 02-2024
5.45 5.58 5.65 5.38 0.11 5.52 01-2021 01-2024
5.33 5.43 5.53 5.24 0.11 5.38 12-2020 12-2023

Rolling return for 5 year

Average return: 6.20
Min Max Min-Max Max-Min Standard Deviation Mean From To
6.13 6.13 6.23 6.02 0.07 6.13 11-2019 11-2024
6.12 6.11 6.25 5.98 0.1 6.12 10-2019 10-2024
6.1 6.13 6.22 6 0.08 6.11 09-2019 09-2024
6.13 6.1 6.24 5.99 0.09 6.12 08-2019 08-2024
6.21 6.14 6.34 6.01 0.12 6.17 07-2019 07-2024
6.18 6.21 6.29 6.1 0.07 6.2 06-2019 06-2024
6.27 6.2 6.39 6.07 0.12 6.23 05-2019 05-2024
6.19 6.27 6.31 6.15 0.06 6.23 04-2019 04-2024
6.26 6.22 6.42 6.07 0.12 6.24 03-2019 03-2024
6.25 6.26 6.38 6.13 0.09 6.26 02-2019 02-2024
6.26 6.25 6.38 6.13 0.09 6.26 01-2019 01-2024
6.28 6.25 6.4 6.14 0.09 6.27 12-2018 12-2023