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  <Status>1</Status>
  <BasicInfo>
    <FundSnapShotBasicInfo>
      <FundID>26596</FundID>
      <FundName>HSBC Multi Asset Active FoF Regular- Growth</FundName>
      <AMCID>13</AMCID>
      <AMCName>HSBC</AMCName>
      <NAV>39.3432</NAV>
      <NAVDiff>0.4944</NAVDiff>
      <NAVChangePerc>1.26</NAVChangePerc>
      <BenchID>385</BenchID>
      <BenchMark>CRISIL Hybrid 35+65 Aggressive Index</BenchMark>
      <FundManager>Gautam Bhupal</FundManager>
      <FundClass>Hybrid -  Multi Asset Allocation</FundClass>
      <FundType>Open Ended</FundType>
      <LaunchDate>09/04/2014</LaunchDate>
      <NFOCloseDate>23/04/2014</NFOCloseDate>
      <InceptionDate>30/04/2014</InceptionDate>
      <InvestmentPlan>Growth</InvestmentPlan>
      <AssetSize>89.8081</AssetSize>
      <MinInvestment>5000</MinInvestment>
      <LastDividend>N.A.</LastDividend>
      <LastBonus>0</LastBonus>
      <ExitLoad>0</ExitLoad>
      <Abs1Week>2.47</Abs1Week>
      <Abs1Month>-4.12</Abs1Month>
      <Abs3Month>-5.18</Abs3Month>
      <Abs6Month>0.82</Abs6Month>
      <Abs1Year>16</Abs1Year>
      <Abs3Year>52.96</Abs3Year>
      <Abs5Year>77.87</Abs5Year>
      <AbsoInce>277.85</AbsoInce>
      <Anu1Week>128.87</Anu1Week>
      <Anu1Month>-48.48</Anu1Month>
      <Anu3Month>-20.99</Anu3Month>
      <Anu6Month>1.65</Anu6Month>
      <Anu1Year>16</Anu1Year>
      <Anu3Year>15.21</Anu3Year>
      <Anu5Year>12.2</Anu5Year>
      <AnnuInce>11.77</AnnuInce>
    </FundSnapShotBasicInfo>
  </BasicInfo>
  <FundPerformance>
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      <PeriodName>1 Year</PeriodName>
      <AbsoluteReturn>16</AbsoluteReturn>
      <AnuliasedReturn>16</AnuliasedReturn>
      <BenchmarkReturn>11.75</BenchmarkReturn>
    </FundSnapShotFundPerformance>
    <FundSnapShotFundPerformance>
      <PeriodName>3 Years</PeriodName>
      <AbsoluteReturn>52.96</AbsoluteReturn>
      <AnuliasedReturn>15.21</AnuliasedReturn>
      <BenchmarkReturn>12.99</BenchmarkReturn>
    </FundSnapShotFundPerformance>
    <FundSnapShotFundPerformance>
      <PeriodName>5 Years</PeriodName>
      <AbsoluteReturn>77.87</AbsoluteReturn>
      <AnuliasedReturn>12.2</AnuliasedReturn>
      <BenchmarkReturn>16.29</BenchmarkReturn>
    </FundSnapShotFundPerformance>
    <FundSnapShotFundPerformance>
      <PeriodName>Inception</PeriodName>
      <AbsoluteReturn>277.85</AbsoluteReturn>
      <AnuliasedReturn>11.77</AnuliasedReturn>
      <BenchmarkReturn>0</BenchmarkReturn>
    </FundSnapShotFundPerformance>
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  <NAVChart>
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      <NAVDate>2026-03-16T00:00:00</NAVDate>
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    <FundSnapShotNAVChart>
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    <FundSnapShotNAVChart>
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    <FundSnapShotNAVChart>
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      <NAVDate>2026-03-20T00:00:00</NAVDate>
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    <FundSnapShotNAVChart>
      <FundID>26596</FundID>
      <NAVDate>2026-03-23T00:00:00</NAVDate>
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      <FundID>26596</FundID>
      <NAVDate>2026-03-24T00:00:00</NAVDate>
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    <FundSnapShotNAVChart>
      <FundID>26596</FundID>
      <NAVDate>2026-03-25T00:00:00</NAVDate>
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    <FundSnapShotNAVChart>
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      <NAVDate>2026-03-30T00:00:00</NAVDate>
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    <FundSnapShotNAVChart>
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      <NAVDate>2026-03-31T00:00:00</NAVDate>
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    <FundSnapShotNAVChart>
      <FundID>26596</FundID>
      <NAVDate>2026-04-01T00:00:00</NAVDate>
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    <FundSnapShotNAVChart>
      <FundID>26596</FundID>
      <NAVDate>2026-04-02T00:00:00</NAVDate>
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    <FundSnapShotNAVChart>
      <FundID>26596</FundID>
      <NAVDate>2026-04-06T00:00:00</NAVDate>
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    <FundSnapShotNAVChart>
      <FundID>26596</FundID>
      <NAVDate>2026-04-07T00:00:00</NAVDate>
      <NAV>37.8315</NAV>
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    <FundSnapShotNAVChart>
      <FundID>26596</FundID>
      <NAVDate>2026-04-08T00:00:00</NAVDate>
      <NAV>38.981</NAV>
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    <FundSnapShotNAVChart>
      <FundID>26596</FundID>
      <NAVDate>2026-04-09T00:00:00</NAVDate>
      <NAV>38.8488</NAV>
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    <FundSnapShotNAVChart>
      <FundID>26596</FundID>
      <NAVDate>2026-04-10T00:00:00</NAVDate>
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      <Description>Reliance ETF Gold BeES</Description>
      <AllocPerc>6.02</AllocPerc>
      <MarketValue>0</MarketValue>
    </FundSnapShotCompSectAssetAlloc>
    <FundSnapShotCompSectAssetAlloc>
      <Description>HSBC Income Invest. Direct-G</Description>
      <AllocPerc>8.74</AllocPerc>
      <MarketValue>0</MarketValue>
    </FundSnapShotCompSectAssetAlloc>
    <FundSnapShotCompSectAssetAlloc>
      <Description>L&amp;T Triple Ace Bond Direct-Gr</Description>
      <AllocPerc>4.32</AllocPerc>
      <MarketValue>0</MarketValue>
    </FundSnapShotCompSectAssetAlloc>
    <FundSnapShotCompSectAssetAlloc>
      <Description>Nippon India Silver ETF-G</Description>
      <AllocPerc>8.29</AllocPerc>
      <MarketValue>0</MarketValue>
    </FundSnapShotCompSectAssetAlloc>
    <FundSnapShotCompSectAssetAlloc>
      <Description>HSBC Dynamic Bond Direct-G</Description>
      <AllocPerc>6.4</AllocPerc>
      <MarketValue>0</MarketValue>
    </FundSnapShotCompSectAssetAlloc>
    <FundSnapShotCompSectAssetAlloc>
      <Description>Others</Description>
      <AllocPerc>2.65</AllocPerc>
      <MarketValue>0</MarketValue>
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      <Description>Financial</Description>
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      <MarketValue>30.321</MarketValue>
    </FundSnapShotCompSectAssetAlloc>
    <FundSnapShotCompSectAssetAlloc>
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      <MarketValue>2.381</MarketValue>
    </FundSnapShotCompSectAssetAlloc>
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