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Conservative Hybrid Funds

Invest 75–90% in debt and 10–25% in equity, for modest growth with lower volatility.

Funds
17
Average 1Y
3.1%
Average 3Y (p.a.)
7.8%
Average 5Y (p.a.)
7.5%

All conservative hybrid funds by returns

Conservative Hybrid Funds with NAV and returns
FundFund houseNAV1Y3Y5YExpenseFund size
Parag Parikh Conservative Hybrid FundPPFAS Mutual Fund₹16.114.9%9.2%9.4%0.31%₹3,481 Cr
HSBC Conservative Hybrid FundHSBC Mutual Fund₹71.472.2%9%7.6%1.22%₹156 Cr
ICICI Prudential Conservative Hybrid FundICICI Prudential Mutual Fund₹87.322.9%8.7%8.4%1.03%₹3,329 Cr
Aditya Birla Sun Life Conservative Hybrid FundAditya Birla Sun Life Mutual Fund₹79.154.5%8.6%8%0.82%₹1,502 Cr
Nippon India Conservative Hybrid Fund (Existing number of Segregated Portfolios - 1)Nippon India Mutual Fund₹69.26.6%8.6%8.2%1%₹984 Cr
Kotak Conservative Hybrid FundKotak Mahindra Mutual Fund₹69.752.8%8.5%8.4%0.61%₹2,833 Cr
DSP Conservative Hybrid FundDSP Mutual Fund₹68.893.4%8.5%7.4%0.64%₹178 Cr
Baroda Bnp Paribas Conservative Hybrid FundBaroda BNP Paribas Mutual Fund₹57.654.9%8.4%0.49%₹944 Cr
SBI Conservative Hybrid FundSBI Mutual Fund₹844.8%8.3%8.6%0.98%₹10,226 Cr
Franklin India Conservative Hybrid FundFranklin Templeton Mutual Fund₹102.742.1%7.7%7.2%0.8%₹210 Cr
Canara Robeco Conservative Hybrid FundCanara Robeco Mutual Fund₹115.632.7%7.7%7%0.56%₹852 Cr
UTI Conservative Hybrid FundUTI Mutual Fund₹76.721.4%7.6%7.6%1.28%₹1,646 Cr
HDFC Conservative Hybrid FundHDFC Mutual Fund₹89.121.7%7.2%7.7%1.17%₹3,201 Cr
Bandhan Conservative Hybrid FundBandhan Mutual Fund₹37.233%7.1%5.8%0.89%₹92 Cr
Axis Conservative Hybrid FundAxis Mutual Fund₹35.931.8%6.5%5.9%1.11%₹219 Cr
LIC MF Conservative Hybrid FundLIC Mutual Fund₹94.253.7%6.4%5.6%1.69%₹47 Cr
Sundaram Conservative Hybrid Fund (Formerly Known as Sundaram Debt Oriented Hybrid Fund)Sundaram Mutual Fund₹32.54-0.2%5.1%6.6%0.96%₹19 Cr

Direct plan, Growth option where available. 3Y and 5Y returns are annualised. Past performance does not guarantee future returns.

NAVs as of 20 September 2026. Source: AMFI.