HDFC Hybrid Debt Fund (Hybrid, Hybrid Conservative Hybri)

Moderately High
15 yrs 10 monthsStarted on:26 Dec 2003
₹ 2903.65 Cras on: 18 Oct 2019
Medium Horizon
Capital Growth and Income

Minimum Investment

  • ₹ 5000.00 for Lumpsum

Investment Objective

The scheme seeks to generate income/capital appreciation by investing primarily in debt securities, money market instruments and moderate exposure to equities.

Exit Load

An open-ended Income Scheme ? Current Load Structure : Entry Load: Not Applicable; Exit Load: In respect of each purchase/switch-in of units, 15% of the units (?the limit?)may be redeemed without any exit load from the date of allotment . Any redemption in excess of the limitshall be subject to following exit load ..Exit load of 1.00% is payable if units are redeemed/switched out within 1 year from the date of allotment of units. No Exit Load is payable if units are redeemed /switched-out after 1 year from the date of allotment. Applicable for the subscriptions made w.e.f. 08-May-2015. The rate of exit load levied on units redeemed will be the rate prevailing at the time of allotment of the units

Scheme Documents

Similar Funds
Aditya Birla SL Regular Savings Fund
Current NAV 39.95
Return (CAGR) 9.40%
Value Research
SBI Debt Hybrid Fund
Current NAV 40.83
Return (CAGR) 7.87%
Value Research
IDFC Asset Allocation Fund Of Funds Conservative
Current NAV 21.92
Return (CAGR) 8.44%
Value Research
Baroda Pioneer Conservative Hybrid Fund
Current NAV 25.32
Return (CAGR) 6.34%
Value Research
Franklin India Life Stage FoF 50s Plus FR Fund
Current NAV 38.67
Return (CAGR) 9.25%
Value Research
UTI Regular Savings Fund
Current NAV 40.94
Return (CAGR) 9.30%
Value Research
Reliance Hybrid Bond Fund
Current NAV 43.4
Return (CAGR) 9.73%
Value Research
ICICI Pru Advisor Series Hybrid Fund
Current NAV 35.72
Return (CAGR) 8.37%
Value Research
DSPular Savings Fund
Current NAV 36.54
Return (CAGR) 8.80%
Value Research
Axisular Saver Fund
Current NAV 19.19
Return (CAGR) 7.29%
Value Research
HDFC Retirement Savings Fund Hybrid Debt
Current NAV 13.47
Return (CAGR) 8.52%
Value Research
Principal Retirement Savings Fund Conservative
Current NAV 12.37
Return (CAGR) 5.68%
Value Research NA


TenureReturns (CAGR)
1 Month0.74
1 YR8.01
2 YR3.44
3 YR4.83

SIP Returns

TenureReturns (CAGR)
1 YR4.96
2 YR4.39
3 YR4.24
5 YR5.98
10 YR8.26


Company Name% Assets
GOI 14/01/2029 7.26%9.83
REC Ltd. 25/06/2029 8.30%3.44
Punjab National Bank 8.98%2.51
State Bank of India2.44
Tata International Ltd. 9.30%2.07
Indian Railway Finance Corpn. Ltd. 25/03/2029 8.30%1.98
ICICI Bank Ltd.1.94
State Bank of India1.87
Power Finance Corpn. Ltd. 25/09/2024 9.25%1.79
REC Ltd. 19/11/2022 9.02%1.79

Top Sectoral Holdings

Sector Name% Assets


Standard Deviation5.29%

Prashant Jain,Shobhit Mehrotra,Chirag Dagli

Mr. Jain is a B. Tech. from IIT Kanpur, PGDM from IIM, Bangalore and CFA from AIMR, USA.He is an MBA from Clemson University, USA.Mr. Dagli has done B. COM and Chartered Accountant.
Prior to joining HDFC AMC he has worked with Zurich AMC and SBI Mutual Fund.Prior to joining HDFC AMC he has worked with Templeton AMC, and ICRA.Prior to joining HDFC AMC, he has worked with Aviva India Life Insurance Company Ltd., ICICI Securities Ltd., Pioneer Invest Corp, Deutsche Equities, Citigroup Global Markets.