HDFC Hybrid Debt Fund

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

Growthvine rating: 4/5 — ranked #3 of 24 in category.

Fund basics

CategoryHybrid: Conservative
NAV₹83.95 (as of 2026-08-21)
AUM₹3,245 Cr
Expense ratio1.43%
RiskometerModerately High
Fund managerSrinivasan Ramamurthy
Exit loadFor units in excess of 15% of the investment, 1% will be charged for redemption within 365 days

Performance & risk

5-year annualised return7.93%
Sharpe ratio0.35
Standard deviation4.60%
Max drawdown-17.24%
Alpha0
Beta0

Over 5 years, captured 121.0% of NIFTY 50 Hybrid Composite Debt 15:85 Index's upside and 109.2% of its downside.

Market cap allocation

Large cap83.5%
Mid cap12.1%
Small cap4.3%

Concentration

Top 5 holdings7.5%
Top 10 holdings11.2%
Total holdings36

Top holdings

Top sectors

Calendar-year track record

YearReturnQuartileCategory rank
2026 (partial)0.5%Q4 (Bottom)#18 of 20
20255.5%Q3#13 of 20
202410.5%Q3#11 of 20
202313.9%Q1 (Top)#2 of 20
20226.0%Q1 (Top)#3 of 19