Mutual Funds
HDFC Retirement Savings Fund-Hybrid-Equity Plan-Reg(G)
Other  |   Very High  |   Solution Oriented - Retirement Fund - Equity
38.14   -0.41
NAV(₹) as on 2/3/2026
-1.07%
  1D
9.96%
  1Y
13.30%
  3Y
11.96%
  5Y
HDFC Retirement Savings Fund-Hybrid-Equity Plan-Reg(G)
Growth Chart of the Scheme

Scheme Details
Expense Ratio:
2.07
Launch Date:
25 Feb 2016
Exit Load:
NIL - Upon completion of Lock-in Period
AUM:
₹ 1,702.59 Crs
Lock-in:
5 Year
Investing Style:
Small Growth
Portfolio Price To Book Value:
NA
Min. Investment:
SIP : ₹ 100.00
Lumpsum : ₹ 100.00
Scheme Benchmark:
NIFTY 50 Hybrid Composite Debt 65:35 Index
Fund Manager:
Srinivasan Ramamurthy ,Shobhit Mehrotra ,Nandita Menezes

FUND OBJECTIVE

The investment objective of the Scheme is to provide long-term capital appreciation / income by investing in a mix of equity and debt instruments to help investors meet their retirement goals. There is no assurance that the investment objective of the Scheme will be realized.

LATEST ASSET & PORTFOLIO ALLOCATION Others Debt Equity
as on 31/1/2026 7.84 % 16.23 % 75.92 %
TOP HOLDINGS

HDFC Bank Ltd.
6.55 %

Tri-Party Repo (TREPS)
6.33 %

ICICI Bank Ltd.
5.57 %

Bajaj Finance Ltd. 07.93% (02-May-2034)
4.17 %

Reliance Industries Ltd.
3.28 %

Axis Bank Ltd.
3.22 %

State Bank Of India
3.16 %

Infosys Ltd.
2.89 %

Tata Consultancy Services Ltd.
2.75 %

Kotak Mahindra Bank Ltd.
2.64 %

See All Holding
ALLOCATION BY MARKET CAP (Equity)
ALLOCATION BY RATING (Debt & Others)
ALLOCATION BY SECTOR

Bank - Private
19.69 %

IT - Software
9.14 %

Refineries
3.91 %

Pharmaceuticals & Drugs
3.54 %

Bank - Public
3.16 %

See All Sectors
PORTFOLIO CHARACTERISTICS (Debt)

Average Maturity

Modified Duration

Yield to Maturity

6.07 (in years)

4.18 (in years)

6.66 %

5 YEAR HISTORY

Financial Year 2021-22 2022-23 2023-24 2024-25 2025-26
NAV (2/3/2026) 24.55 26.28 34.03 36.44 38.14
Net Assets (Rs Crores) 80,244.57 94,804.14 1,35,205.55 1,56,670.66 1,70,259.19
Scheme Returns(%)(Absolute) 13.92 6.04 29.15 6.21 5.43
B'mark Returns(%)(Absolute) NA NA NA NA NA
Category Rank 8/26 2/27 12/28 19/30 17/30
RISKOMETER
Level of Risk in the Scheme

Clients will understand that their principal will be at Very High risk.

PERFORMANCE COMPARISON WITH SIMILAR SCHEMES

Fund Details Inception Date Aum(₹ Crs) 1Y 3Y 5Y Since Inception
MDB Logo
PGIM India Retirement Fund-Reg(G)
Solution Oriented - Retirement Fund - Equity  |   Very High |  11.32   +-0.15  
15/4/2024 ₹ 93.66 10.98% - - 6.82%
MDB Logo
Bandhan Retirement Fund-Reg(G)
Solution Oriented - Retirement Fund - Equity  |   Very High |  12.53   +-0.10  
18/10/2023 ₹ 183.96 9.75% - - 9.97%
MDB Logo
Baroda BNP Paribas Retirement Fund-Reg(G)
Solution Oriented - Retirement Fund - Equity  |   Very High |  11.20   +-0.11  
28/5/2024 ₹ 393.24 14.02% - - 6.62%
MDB Logo
SBI Retirement Benefit Fund-Aggressive Plan-Reg(G)
Solution Oriented - Retirement Fund - Equity  |   Very High |  19.53   +-0.32  
10/2/2021 ₹ 3,057.44 11.53% 12.61% 14.09% 14.15%
MDB Logo
SBI Retirement Benefit Fund-Aggressive Hybrid Plan-Reg(G)
Solution Oriented - Retirement Fund - Equity  |   Very High |  18.92   +-0.21  
10/2/2021 ₹ 1,657.62 13.33% 12.74% 13.43% 13.44%
MDB Logo
HDFC Retirement Savings Fund-Hybrid-Equity Plan-Reg(G)
Solution Oriented - Retirement Fund - Equity  |   Very High |  38.14   +-0.41  
25/2/2016 ₹ 1,702.59 9.96% 13.30% 11.96% 14.29%
MDB Logo
Axis Retirement Fund-Aggressive Plan-Reg(G)
Solution Oriented - Retirement Fund - Equity  |   Very High |  18.08   +-0.20  
20/12/2019 ₹ 729.25 9.78% 13.87% 8.04% 10.02%
MDB Logo
Tata Retirement Sav Fund - Mod Plan(G)
Solution Oriented - Retirement Fund - Equity  |   Very High |  61.92   +-0.55  
8/11/2011 ₹ 2,093.82 10.10% 14.01% 10.34% 13.56%
MDB Logo
Aditya Birla SL Retirement Fund-40-Reg(G)
Solution Oriented - Retirement Fund - Equity  |   Very High |  18.91   +-0.18  
11/3/2019 ₹ 113.54 13.74% 14.43% 8.87% 9.56%
MDB Logo
Axis Retirement Fund-Dynamic Plan-Reg(G)
Solution Oriented - Retirement Fund - Equity  |   Very High |  19.11   +-0.26  
20/12/2019 ₹ 292.84 10.21% 14.58% 9.28% 11.01%