Aggressive Hybrid Hybrid funds

Looking for top Best Mutual Funds options in the Hybrid space under the Aggressive Hybrid segment. Compare performance, NAV, holdings, and risk metrics below to find funds that match your investment objectives.

Key Highlights Aggressive Hybrid Hybrid funds :

  • SBI Children's Fund - Investment Plan Direct-Growth has delivered one of the strongest 5 year returns at 24.62%.
  • The lowest expense ratio is offered by HSBC Aggressive Hybrid Active FoF Direct- Growth at 0.09%.
  • Aditya Birla Sun Life Equity Hybrid '95 Fund Direct-Growth has the highest NAV at ₹1,594.29, while Baroda BNP Paribas Retirement Fund Regular - Growth has one of the lowest NAV at ₹10.47.
  • In terms of scale, SBI Equity Hybrid Fund Direct Plan-Growth manages the highest AUM around ₹82,317.65 Cr, whereas Bandhan Aggressive Hybrid Passive FoF Direct Plan-Growth is among the lowest AUM around ₹19.42 Cr.
  • The most affordable entry point is offered by Edelweiss Aggressive Hybrid Fund Direct - Growth with a minimum investment of ₹100.

Top Performing Aggressive Hybrid Hybrid funds

Scheme NameFund Type / Category1 Year2 Years3 Years4 Years5 Years7 Years10 Years
SBI Children's Fund - Investment Plan Direct-GrowthHybrid / Aggressive Hybrid7.00%13.86%21.41%16.53%24.62%--
SBI Children's Fund - Investment Plan Regular-GrowthHybrid / Aggressive Hybrid5.92%12.66%20.06%15.19%23.10%--
ICICI Prudential Equity & Debt Fund Direct-GrowthHybrid / Aggressive Hybrid3.79%6.62%17.40%14.20%17.77%16.49%16.45%
ICICI Prudential Equity & Debt Fund Direct-IDCW MonthlyHybrid / Aggressive Hybrid3.79%6.62%17.40%14.20%17.77%16.49%16.45%
ICICI Prudential Equity & Debt Fund Direct-IDCW Half YearlyHybrid / Aggressive Hybrid3.79%6.62%17.40%14.20%17.77%16.49%16.45%
Read More
Sort By:
RSI
AUM
NAV
5 Year
10 Year
A-Z
More
Sort By Field:
YTD
1 Day
1 Week
1 Month
3 Months
6 Months
9 Months
1 Year
2 Year
3 Year
4 Year
7 Year
15 Year
20 Year
Z-A
Sort By
Expand all filters
Fund Category +
Large Cap
ELSS
Thematic-MNC
Large & MidCap
Small Cap
Multi Cap
Mid Cap
Flexi Cap
Thematic-ESG
Thematic
Value Oriented
Sectoral-Technology
Thematic-Consumption
Sectoral-Pharma
Thematic-Dividend Yield
Sectoral-Banking
Sectoral-Infrastructure
International
Thematic-Energy
Thematic-PSU
Aggressive Hybrid
Dynamic Asset Allocation
Balanced Hybrid
Conservative Hybrid
Multi Asset Allocation
Equity Savings
Arbitrage
Medium to Long Duration
Medium Duration
Dynamic Bond
Corporate Bond
Liquid
Low Duration
Long Duration
Banking and PSU
Gilt
Ultra Short Duration
Money Market
Gilt with 10 year Constant Duration
Short Duration
Overnight
Floater
Credit Risk
Fixed Maturity
Target Maturity
Others
Gold
Silver
Sort By +
Mutual Fund Companies +
Minimum Investment +
Dividend Type +
AUM (in Cr) +

Min 0 Cr

Expense Ratio +

Min 0.01%

Risk +
Rating +
Invest
₹ 10,000
Payment Mode
Monthly
Invest for
5 Years
Maturity Value
₹673,971
AUM
₹5,353.52 Cr
Expense ratio
0.84%
Current NAV
44.0232
Category
Hybrid
1 Yr Return
7.00%
3 Yr Return
21.41%
5 Yr Return
24.62%
7 Yr Return
-
10 Yr Return
-
Know More
Invest Now
Maturity Value
₹669,465
AUM
₹5,353.52 Cr
Expense ratio
1.83%
Current NAV
41.0638
Category
Hybrid
1 Yr Return
5.92%
3 Yr Return
20.06%
5 Yr Return
23.10%
7 Yr Return
-
10 Yr Return
-
Know More
Invest Now
Maturity Value
₹653,588
AUM
₹50,205.35 Cr
Expense ratio
0.94%
Current NAV
423.3900
Category
Hybrid
1 Yr Return
3.79%
3 Yr Return
17.40%
5 Yr Return
17.77%
7 Yr Return
16.49%
10 Yr Return
16.45%
Know More
Invest Now
Maturity Value
₹653,588
AUM
₹50,205.35 Cr
Expense ratio
0.94%
Current NAV
66.7800
Category
Hybrid
1 Yr Return
3.79%
3 Yr Return
17.40%
5 Yr Return
17.77%
7 Yr Return
16.49%
10 Yr Return
16.45%
Know More
Invest Now
Maturity Value
₹653,588
AUM
₹50,205.35 Cr
Expense ratio
0.94%
Current NAV
27.4300
Category
Hybrid
1 Yr Return
3.79%
3 Yr Return
17.40%
5 Yr Return
17.77%
7 Yr Return
16.49%
10 Yr Return
16.45%
Know More
Invest Now
Maturity Value
₹653,588
AUM
₹50,205.35 Cr
Expense ratio
0.94%
Current NAV
27.0600
Category
Hybrid
1 Yr Return
3.79%
3 Yr Return
17.40%
5 Yr Return
17.77%
7 Yr Return
16.49%
10 Yr Return
16.45%
Know More
Invest Now
Maturity Value
₹651,659
AUM
₹1,360.45 Cr
Expense ratio
0.8%
Current NAV
39.9500
Category
Hybrid
1 Yr Return
5.21%
3 Yr Return
18.91%
5 Yr Return
17.12%
7 Yr Return
16.91%
10 Yr Return
-
Know More
Invest Now
Maturity Value
₹651,659
AUM
₹1,360.45 Cr
Expense ratio
0.8%
Current NAV
31.8700
Category
Hybrid
1 Yr Return
5.21%
3 Yr Return
18.91%
5 Yr Return
17.12%
7 Yr Return
16.91%
10 Yr Return
-
Know More
Invest Now
Maturity Value
₹651,595
AUM
₹50,205.35 Cr
Expense ratio
1.54%
Current NAV
41.1600
Category
Hybrid
1 Yr Return
3.17%
3 Yr Return
16.71%
5 Yr Return
17.10%
7 Yr Return
15.85%
10 Yr Return
15.55%
Know More
Invest Now
Maturity Value
₹651,595
AUM
₹50,205.35 Cr
Expense ratio
1.54%
Current NAV
380.0000
Category
Hybrid
1 Yr Return
3.17%
3 Yr Return
16.71%
5 Yr Return
17.10%
7 Yr Return
15.85%
10 Yr Return
15.55%
Know More
Invest Now
Maturity Value
₹651,595
AUM
₹50,205.35 Cr
Expense ratio
1.54%
Current NAV
24.0600
Category
Hybrid
1 Yr Return
3.17%
3 Yr Return
16.71%
5 Yr Return
17.10%
7 Yr Return
15.85%
10 Yr Return
15.55%
Know More
Invest Now
Maturity Value
₹651,595
AUM
₹50,205.35 Cr
Expense ratio
1.54%
Current NAV
24.1800
Category
Hybrid
1 Yr Return
3.17%
3 Yr Return
16.71%
5 Yr Return
17.10%
7 Yr Return
15.85%
10 Yr Return
15.55%
Know More
Invest Now
Maturity Value
₹648,847
AUM
₹1,131.03 Cr
Expense ratio
0.81%
Current NAV
28.0300
Category
Hybrid
1 Yr Return
9.88%
3 Yr Return
21.51%
5 Yr Return
16.18%
7 Yr Return
15.11%
10 Yr Return
-
Know More
Invest Now
Maturity Value
₹648,847
AUM
₹1,131.03 Cr
Expense ratio
0.81%
Current NAV
28.0300
Category
Hybrid
1 Yr Return
9.88%
3 Yr Return
21.51%
5 Yr Return
16.18%
7 Yr Return
15.11%
10 Yr Return
-
Know More
Invest Now
Maturity Value
₹648,843
AUM
₹8,854.84 Cr
Expense ratio
0.29%
Current NAV
222.7685
Category
Hybrid
1 Yr Return
1.09%
3 Yr Return
17.02%
5 Yr Return
16.18%
7 Yr Return
16.90%
10 Yr Return
15.46%
Know More
Invest Now
Maturity Value
₹647,835
AUM
₹1,360.45 Cr
Expense ratio
2.13%
Current NAV
36.3100
Category
Hybrid
1 Yr Return
3.83%
3 Yr Return
17.49%
5 Yr Return
15.84%
7 Yr Return
15.72%
10 Yr Return
-
Know More
Invest Now
Maturity Value
₹647,835
AUM
₹1,360.45 Cr
Expense ratio
2.13%
Current NAV
30.0900
Category
Hybrid
1 Yr Return
3.83%
3 Yr Return
17.49%
5 Yr Return
15.84%
7 Yr Return
15.72%
10 Yr Return
-
Know More
Invest Now
Maturity Value
₹645,372
AUM
₹3,545.93 Cr
Expense ratio
0.37%
Current NAV
69.4700
Category
Hybrid
1 Yr Return
1.97%
3 Yr Return
15.87%
5 Yr Return
15.02%
7 Yr Return
14.93%
10 Yr Return
13.72%
Know More
Invest Now
Maturity Value
₹645,372
AUM
₹3,545.93 Cr
Expense ratio
0.37%
Current NAV
30.7200
Category
Hybrid
1 Yr Return
1.97%
3 Yr Return
15.87%
5 Yr Return
15.02%
7 Yr Return
14.93%
10 Yr Return
13.72%
Know More
Invest Now
Maturity Value
₹645,057
AUM
₹1,990.39 Cr
Expense ratio
0.83%
Current NAV
437.9467
Category
Hybrid
1 Yr Return
4.02%
3 Yr Return
12.70%
5 Yr Return
14.92%
7 Yr Return
17.72%
10 Yr Return
15.81%
Know More
Invest Now

Frequently Asked Questions

  • Which fund has the lowest expense ratio?

    HSBC Aggressive Hybrid Active FoF Direct- Growth offers one of the lowest expense ratios at 0.09%.
  • Which fund has the highest and lowest NAV?

    Aditya Birla Sun Life Equity Hybrid '95 Fund Direct-Growth has one of the highest NAVs at ₹1,594.29, while Baroda BNP Paribas Retirement Fund Regular - Growth has a lower NAV of ₹10.47.
  • Which fund has the highest AUM?

    SBI Equity Hybrid Fund Direct Plan-Growth manages one of the highest assets under management at ₹82,317.65 Cr.
  • What is the minimum investment required?

    The minimum investment starts from ₹100, offered by Edelweiss Aggressive Hybrid Fund Direct - Growth.
Become Crorepati
Invest ₹10k/Month & Get ₹1 Crore# Returns
No tax on returns under Section 10 (10D)
View Plans
+All savings provided by insurers as per IRDAI approved insurnace plan. Standard T&C apply.
Close
Download the Policybazaar app
to manage all your insurance needs.
INSTALL
Claude
top

Become a Crorepati

Invest ₹10K/Month & Get ₹1 Crore# Returns

Mobile +91
*T&C Applied.