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
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.