HDFC Flexi Cap Fund - Direct (G) vs Tata Money Market Fund - Direct (G)
HDFC Flexi Cap Fund - Direct (G)
3.38%
Tata Money Market Fund - Direct (G)
6.47%
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About Fund
HDFC Bank Limited & Citibank N.A
Computer Age Management Services Pvt. Ltd.
Deutsche Bank HDFC CitiBank N.A. Standard Chartered Bank
CAMS Ltd. Karvy Computershare P Ltd MCS Ltd.
Fund Details
Very High Risk
100
106495.63
1.89
2237.161
January 1, 2013
1
Low to Moderate Risk
5000
33899.06
0.18
5161.3905
January 1, 2013
0
Very High Risk
100
106495.63
1.89
2237.161
January 1, 2013
1
Low to Moderate Risk
5000
33899.06
0.18
5161.3905
January 1, 2013
0
18.58 %
16.83 %
3.38 %
6.75 %
7.52 %
6.47 %
Amit Ganatra
M.Com., CA., CFA.,
Jan 2007 - till date Invesco Asset Management (India) Private Limited Jan 2006 - Dec 2006 Analyst - Equity - DBS Cholamandalam Asset Management Company Pvt. Ltd. Nov 2003 - Dec 2005 Sector Specialist - Equity Research - Fidelity Business Services India Pvt. Ltd. Apr 2003 - Oct 2003 Analyst - Centre For Monitoring Indian Economy - CMIE
Chirag Setalvad
B.Sc., in Business Administration from University of North Carolina.
Collectively over 22 years of experience, of which over 11 years in Fund Management and Equity Research and 3 years in investment banking. His previous employment was with new Vernon Advisory Services Pvt Ltd (Oct 2004 to - February 2007), HDFC AMC (July 2000 to August 2004) and ING Barings N.V (Sep 1996 to June 2000)
Prashant Jain
B.Tech from IIT Kanpur, PGDM from IIM Bangalore, CFA - AIMR.
Mr. Jain is a B. Tech. from IIT Kanpur, PGDM from IIM, Bangalore and CFA from AIMR, USA.Prior to joining HDFC AMC he has worked with Zurich AMC and SBI Mutual Fund.
Roshi Jain
Post Graduate Diploma in Management.CFA., ACA., CFA, PGDM, ACA
She is responsible for investment in foreign securities research (Since May 2005), identifying investment opportunities in capital goods, retail, textiles & transportation sector. Prior Goldman sachs, london (2004 - 2005) Responsible for equity Researched European building material stocks. - Goldman sachs, Singapore / HK (2002 - 2004). Responsible for equity research, researched Asian retail stocks. Wipro ltd. (1999 - 2000). Responsible for internal audit, Internal audit of processes & transactions. - S. R. Batliboi & Co. (1999). Responsible for statutory audit of corporate.
Amit Somani
B.Com, PGDBM and CFA Charterholder
Sep 2012 - till date with Tata Asset Management Ltd. as a Fund Manager reporting to Head-Fixed Income. Jun 2010 - Aug 2012 with Tata Asset Management Ltd. as a Credit Analyst reporting to Head of Fixed Income. September 2006 - April 2010 with Fidelity Investments as Research Associate. July 2004 to August 2006 with Netscribes Pvt. Ltd as Research analyst. Jun 2003 to July 2004 with SPA Capital as debt market dealer. February 2001 to May 2003 with Khandwala Securities as debt market dealer.
Marzban Irani
B.Com., PGDBM.
Prior to joining LIC Mutual Fund he was associated with DSP BlackRock Investment Managers (Jun 2014-Jul 2016) as VP Fixed Income, Tata Asset Management (Jun 2011-May 2014) as Senior Fund Manager Fixed Income, MetLife India Insurance (Sep 2010-May 2011) as Fund Manager Fixed Income, Mirae Asset Global Investment Management India Pvt. Ltd. (Jan 2008-Jul 2010) as Fund Manager Fixed Income and Tata Asset Management Limited (Sep 2000-Nov 2007) as Fund Manager Fixed Income.