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Equity Oriented Funds                   29 November, 2024
Funds Recommended based on Long Term Trends                        
        Suitable for            
Name of Scheme Inception Date SEBI Categorisation Riskometer** Aggressive Modetare Conservative NAV Rs Returns for
Large Cap Funds               6 m 1 yr 3 Yrs 5 Yrs Incep
Nippon India Large Cap Fund 8 Aug 07 Large Cap Fund Very High Yes Yes Yes 87.18 7.65% 29.61% 21.45% 19.74% 13.31%
ICICI Prudential Bluechip Fund 23 May 08 Large Cap Fund Very High Yes Yes Yes 105.92 8.30% 27.80% 18.45% 19.19% 15.35%
HDFC Top 100 Fund 3 Sep 96 Large Cap Fund Very High Yes Yes Yes 1116.22 6.25% 23.54% 18.75% 17.33% 19.02%
Baroda BNP Paribas Large Cap Fund 23 Sep 04 Large Cap Fund Very High Yes Yes Yes 219.66 7.26% 31.42% 17.13% 17.75% 16.53%
S&P BSE Sensex TRI Index               8.64% 20.59% 13.28% 15.74% --
Nifty 50 TRI Index               7.79% 21.27% 13.76% 16.21% --
NIFTY 100 TRI Index               7.15% 25.34% 14.47% 16.76% --
                         
Flexi Cap / Multi Cap Funds                        
Nippon India Multi Cap Fund 28 Mar 05 Multi Cap Fund Very High Yes Yes Yes 291.55 8.31% 34.24% 26.81% 24.47% 18.69%
HDFC Flexi Cap Fund 1 Jan 95 Flexi Cap Fund Very High Yes Yes Yes 1883.67 11.25% 34.55% 25.38% 22.84% 19.13%
Kotak Multicap Fund 29 Sep 21 Multi Cap Fund Very High Yes Yes Yes 19.02 11.73% 38.18% 25.92% -- 22.49%
Franklin India Flexi Cap Fund 29 Sep 94 Flexi Cap Fund Very High Yes Yes Yes 1615.53 10.56% 31.39% 19.71% 22.22% 18.34%
NIFTY 500 TRI Index               8.08% 27.29% 16.89% 19.44% --
                         
Large & Mid Cap Funds                        
ICICI Prudential Large & Mid Cap Fund 9 Jul 98 Large & Mid Cap Very High Yes Yes Yes 941.26 8.47% 30.44% 21.87% 23.19% 18.78%
Kotak Equity Opportunities Fund 9 Sep 04 Large & Mid Cap Very High Yes Yes Yes 336.01 6.62% 33.00% 21.15% 21.61% 18.97%
Bandhan Core Equity Fund 9 Aug 05 Large & Mid Cap Very High Yes Yes Yes 130.07 10.81% 38.13% 24.80% 23.24% 14.20%
HDFC Large and Mid Cap Fund 18 Feb 94 Large & Mid Cap Very High Yes Yes Yes 331.12 8.38% 29.10% 21.72% 23.28% 13.13%
NIFTY Large Midcap 250 TRI Index               7.93% 28.54% 19.22% 22.39% --
                         
Mid Cap Funds                        
Motilal Oswal Midcap Fund 24 Feb 14 Mid Cap Fund Very High Yes Yes No 108.42 30.17% 60.06% 35.33% 32.51% 24.77%
HDFC Mid-Cap Opportunities Fund 25 Jun 07 Mid Cap Fund Very High Yes Yes No 187.34 11.80% 34.93% 28.04% 28.48% 18.29%
NIFTY Midcap 150 TRI Index               8.67% 31.68% 23.91% 28.00% --
                         
Small Cap Funds                        
Nippon India Small Cap Fund 16 Sep 10 Small cap Fund Very High Yes Yes No 176.05 12.67% 34.28% 29.03% 35.55% 22.36%
HSBC Small Cap Fund 12 May 14 Small cap Fund Very High Yes Yes No 88.28 14.90% 31.87% 26.00% 31.01% 22.18%
Franklin India Smaller Companies Fund 13 Jan 06 Small cap Fund Very High Yes Yes No 179.85 9.55% 29.80% 25.88% 29.36% 16.53%
Tata Small Cap Fund 12 Nov 18 Small cap Fund Very High Yes Yes No 42.73 19.85% 38.86% 26.05% 32.10% 27.12%
Nifty Smallcap 250 TRI Index               13.89% 34.52% 24.77% 30.76% --
                         
Value / Contra / Dividend Yield Funds                        
SBI Contra Fund 14 Jul 99 Contra Very High Yes Yes Yes 381.53 8.20% 29.74% 24.66% 29.50% 19.27%
ICICI Prudential Value Discovery Fund 16 Aug 04 Value Fund Very High Yes Yes Yes 447.01 10.92% 30.14% 23.56% 25.66% 20.58%
HSBC Value Fund 8 Jan 10 Value Fund Very High Yes Yes Yes 108.44 9.06% 35.36% 24.92% 24.73% 17.35%
Templeton India Value Fund 5 Sep 03 Value Fund Very High Yes Yes Yes 713.20 5.30% 28.42% 22.22% 23.98% 18.16%
Nifty 500 TRI Index               8.08% 27.29% 16.89% 19.44% --
                         
Funds Recommended based on Long Term Trends                        
Focused Funds                        
HDFC Focused 30 Fund 17 Sep 04 Focused Fund Very High Yes Yes Yes 218.80 11.71% 34.51% 25.97% 22.91% 16.49%
Mahindra Manulife Focused Fund 17 Nov 20 Focused Fund Very High Yes Yes Yes 26.16 6.49% 33.66% 21.39% -- 26.91%
ICICI Prudential Focused Equity Fund 28 May 09 Focused Fund Very High Yes Yes Yes 85.76 10.89% 35.20% 21.07% 23.93% 14.85%
Franklin India Focused Equity Fund 26 Jul 07 Focused Fund Very High Yes Yes Yes 106.46 8.24% 28.32% 18.24% 20.05% 14.60%
Nifty 500 TRI Index               8.08% 27.29% 16.89% 19.44% --
                         
Arbitrage Funds                        
Kotak Equity Arbitrage Fund 29 Sep 05 Arbitrage Fund Low Yes Yes Yes 35.99 3.55% 7.82% 6.40% 5.51% 6.90%
HDFC Arbitrage Fund 23 Oct 07 Arbitrage Fund Low Yes Yes Yes 29.45 3.53% 7.65% 6.16% 5.18% 6.51%
UTI Arbitrage Fund 29 Jun 06 Arbitrage Fund Low Yes Yes Yes 33.64 3.53% 7.68% 6.11% 5.32% 6.80%
Invesco India Arbitrage Fund 30 Apr 07 Arbitrage Fund Low Yes Yes Yes 30.67 3.52% 7.63% 6.53% 5.47% 6.57%
Nifty 50 Arbitrage Index               3.38% 7.49% 6.43% 5.14% --
                         
Aggressive Hybrid Funds                        
ICICI Prudential Equity & Debt Fund 3 Nov 99 Aggressive Hybrid Fund Very High Yes Yes Yes 367.93 6.92% 25.44% 19.95% 21.55% 15.45%
Kotak Equity Hybrid Fund 3 Nov 14 Aggressive Hybrid Fund Very High Yes Yes Yes 61.30 11.31% 28.31% 16.18% 18.34% 13.13%
UTI Aggressive Hybrid Fund 2 Jan 95 Aggressive Hybrid Fund Very High Yes Yes Yes 395.82 10.61% 26.80% 17.30% 18.73% 13.17%
Nippon India Equity Hybrid Fund 10 Jun 05 Aggressive Hybrid Fund Very High Yes Yes Yes 101.75 8.44% 23.02% 16.13% 13.29% 12.64%
NIFTY 50 Hybrid Composite Debt 65:35 Index               6.68% 17.07% 11.17% 13.43% --
                         
Dynamic Asset Allocation or Balanced Advantage Funds                        
HDFC Balanced Advantage Fund 1 Feb 94 Balanced Advantage Very High Yes Yes Yes 502.74 4.85% 25.35% 22.72% 20.05% 18.46%
SBI Balanced Advantage Fund 31 Aug 21 Balanced Advantage Moderately High Yes Yes Yes 14.73 4.94% 18.61% 13.42% -- 12.64%
ICICI Prudential Balanced Advantage Fund 30 Dec 06 Balanced Advantage Very High Yes Yes Yes 69.42 6.41% 16.61% 12.67% 12.89% 11.41%
Baroda BNP Paribas Balanced Advantage Fund 14 Nov 18 Balanced Advantage Very High Yes Yes Yes 23.60 7.60% 21.90% 13.57% 16.22% 15.26%
NIFTY 50 Hybrid Composite Debt 65:35 Index               6.68% 17.07% 11.17% 13.43% --
                         
Equity Savings Funds                        
Name of Scheme Inception Date SEBI Categorisation Riskometer**       NAV Rs Equity Exposure * Arbitrage Exposure * Returns for
                6 m 1 yr Incep
Kotak Equity Savings Fund 13 Oct 14 Equity Savings Moderately High Yes Yes Yes 25.37 36.40% 27.78% 5.73% 15.84% 9.62%
HDFC Equity Savings Fund 17 Sep 04 Equity Savings Moderately High Yes Yes Yes 63.71 32.33% 33.38% 4.74% 14.12% 9.59%
ICICI Prudential Equity Savings Fund 5 Dec 14 Equity Savings Low to Moderate Yes Yes Yes 21.51 17.67% 58.83% 5.44% 9.69% 7.97%
34% NIFTY Short Duration Debt Index, 33% Nifty 50 TRI & 33% Nifty 50 Arbitrage Index                   4.97% 13.48% --
                         
Equity Linked Saving Schemes                        
Name of Scheme Inception Date SEBI Categorisation Riskometer**       NAV Rs Returns for
                6 m 1 yr 3 Yrs 5 Yrs Incep
HDFC ELSS Tax saver 31 Mar 96 ELSS Very High Yes Yes Yes 1341.74 9.10% 32.44% 22.67% 20.94% 23.62%
SBI Long Term Equity Fund 31 Mar 93 ELSS Very High Yes Yes Yes 430.66 9.15% 38.62% 25.25% 24.51% 16.71%
Motilal Oswal ELSS Tax Saver Fund 21 Jan 15 ELSS Very High Yes Yes Yes 53.54 20.06% 51.66% 26.40% 23.60% 18.54%
Nifty 500 TRI Index               8.08% 27.29% 16.89% 19.44% --
                         
Index Funds                        
Name of Scheme Inception Date SEBI Categorisation Riskometer**       NAV Rs Returns for
                6 m 1 yr 3 Yrs 5 Yrs Incep
HDFC Nifty 50 Index Fund 17 Jul 02 Index Funds Very High Yes Yes Yes 227.34 7.51% 20.73% 13.25% 15.58% 14.81%
ICICI Prudential Nifty 50 Index Fund 26 Feb 02 Index Funds Very High Yes Yes Yes 241.18 7.51% 20.74% 13.24% 15.56% 15.00%
UTI Nifty 50 Index Fund 4 Mar 00 Index Funds Very High Yes Yes Yes 164.62 7.58% 20.76% 13.35% 15.75% 11.98%
Nippon India Index Fund - Nifty 50 Plan 28 Sep 10 Index Funds Very High Yes Yes Yes 40.68 7.43% 20.48% 12.88% 15.00% 10.40%
Nifty 50 TRI Index               7.79% 21.27% 13.76% 16.21% --
                         
Sectoral/Thematic and Other Funds                        
DSP India T.I.G.E.R. Fund 11 Jun 04 Sector Funds Very High Yes No No 330.17 5.35% 47.25% 32.68% 29.06% 18.62%
ICICI Prudential Business Cycle Fund 18 Jan 21 Thematic Fund Very High Yes No No 22.81 6.49% 31.70% 22.20% -- 23.78%
                         
Multi Asset Allocation                        
ICICI Prudential Multi-Asset Fund 31 Oct 02 Multi Asset Allocation Very High Yes Yes Yes 700.54 6.54% 22.22% 19.90% 20.61% 21.20%
UTI Multi Asset Allocation Fund 17 Dec 08 Multi Asset Allocation Very High Yes Yes Yes 71.39 6.91% 26.60% 17.98% 15.42% 13.10%
SBI Multi Asset Allocation Fund 30 Nov 05 Multi Asset Allocation Very High Yes Yes Yes 55.52 5.40% 18.00% 14.44% 14.05% 9.43%
                         
Gold Funds                        
Name of Scheme Inception Date SEBI Categorisation Riskometer**       NAV Rs Returns for
                6 m 1 yr 3 Yrs 5 Yrs Incep
Kotak Gold Fund 25 Mar 11 Gold High Yes Yes Yes 29.87 4.66% 20.33% 14.85% 13.57% 8.32%
HDFC Gold ETF Fund of Fund 1 Nov 11 Gold High Yes Yes Yes 23.24 4.72% 20.82% 15.33% 13.79% 6.66%
Physical Gold
 

 

 

 

 

 

 
5.92% 22.36% 16.67% 15.06% --

Source for entire data stated above is ACEMF & ICRA Analytics Ltd. (For Disclaimer of ICRA Analytics Ltd, refer https://icraanalytics.com/home/disclaimer)
Source for Physical Gold returns is Kotak Asset Management Company Limited.
As per SEBI circular dated September 13, 2012, fresh subscriptions/switch-ins will be accepted only under a single plan for all the schemes w.e.f from 1st October 2012.
Note: Return figures for all schemes are absolute for <= 1 year and compounded annualised for > 1 year.
Past returns cannot be taken as an indicator of future performance.
All the NAVs and return calculations are for the Growth Oriented Plans, unless mentioned otherwise.
* Data As On 31 October, 2024
Equity Oriented Scheme recommendations have been made based on the methodology, which assigns weightages to parameters like FAMA, Sharpe Ratio, Sortino Ratio, Corpus, Past Performance, Beta and Volatility.
** As disclosed by the respective Asset Management Companies. Refere to the Riskometer Index




Riskometer Index

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