HDFC Standard Life - Bond Opportunities Fund
|
Category
Medium to Long Duration
|
Latest NAV
28.3929
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Balanced Managed Investment Life II
|
Category
Balanced Allocation
|
Latest NAV
40.0052
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Pension Super Plus Fund 2012
|
Category
Balanced Allocation
|
Latest NAV
27.9172
|
NAV Date
Mar 31, 2025
|
HDFC Life Equity Advantage Fund
|
Category
Multi-Cap
|
Latest NAV
26.0885
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Blue Chip Wealth Builder
|
Category
Large-Cap
|
Latest NAV
48.0231
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Equity Managed Investment Life
|
Category
Large-Cap
|
Latest NAV
338.4140
|
NAV Date
Mar 31, 2025
|
HDFC S Life-Diversified Equity Fund
|
Category
Aggressive Allocation
|
Latest NAV
38.9219
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Group Pension Growth Fund
|
Category
Group Equity
|
Latest NAV
430.4219
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Defensive Managed Investment Life
|
Category
Conservative Allocation
|
Latest NAV
139.8915
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Growth Fund Investment Life II
|
Category
Large-Cap
|
Latest NAV
44.8498
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Group Defined Benefit Superannuation Pension Secure Managed
|
Category
Group Bond
|
Latest NAV
190.3838
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Group Life Stable Managed Fund II
|
Category
Group Bond
|
Latest NAV
29.2809
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Defensive Managed Investment Life II
|
Category
Conservative Allocation
|
Latest NAV
39.4057
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Balanced Managed Investment Pension II
|
Category
Balanced Allocation
|
Latest NAV
56.1223
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Group Pension Liquid II
|
Category
Group Bond
|
Latest NAV
26.3721
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Group Life Defensive Managed Fund II
|
Category
Group Allocation
|
Latest NAV
38.9866
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Equity Managed Investment Pension II
|
Category
Large-Cap
|
Latest NAV
75.8031
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Sovereign Fund Pension
|
Category
Group Bond
|
Latest NAV
70.6110
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Group Pension Defensive II
|
Category
Group Allocation
|
Latest NAV
42.0559
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Group Life Balanced Managed Fund II
|
Category
Group Allocation
|
Latest NAV
39.9909
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Growth Fund Investment Pension II
|
Category
Large-Cap
|
Latest NAV
84.6750
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Stable Managed Life II
|
Category
Short Duration
|
Latest NAV
29.3472
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Group Life Liquid Fund II
|
Category
Group Bond
|
Latest NAV
28.0291
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Group Life Stable Managed Fund
|
Category
Group Bond
|
Latest NAV
82.6768
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Secured Managed Investment Pension II
|
Category
Medium to Long Duration
|
Latest NAV
34.2729
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Vantage Wealth Builder Fund
|
Category
Aggressive Allocation
|
Latest NAV
40.0617
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Group Life Liquid Fund
|
Category
Group Bond
|
Latest NAV
79.1008
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Group Pension Defensive Managed Fund
|
Category
Group Allocation
|
Latest NAV
123.5877
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Stable Managed Pension II
|
Category
Short Duration
|
Latest NAV
28.1038
|
NAV Date
Mar 31, 2025
|
HDFC Life Insurance Midcap Momentum Fund
|
Category
Equity - Other
|
Latest NAV
10.0765
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Group Life Defensive Managed Fund
|
Category
Group Allocation
|
Latest NAV
137.8529
|
NAV Date
Mar 31, 2025
|
HDFC S Life-Bond Fund
|
Category
Medium to Long Duration
|
Latest NAV
20.7800
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Secure Managed Investmment Life
|
Category
Medium to Long Duration
|
Latest NAV
90.9457
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Group Pension Stable II
|
Category
Group Bond
|
Latest NAV
27.9517
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Group Pension Balanced Managed Fund
|
Category
Group Allocation
|
Latest NAV
197.4224
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Liquid Fund Investment Life II
|
Category
Ultra Short Duration
|
Latest NAV
28.0218
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Secure Managed Investmment Life II
|
Category
Medium to Long Duration
|
Latest NAV
34.5644
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Group Pension Secure II
|
Category
Group Bond
|
Latest NAV
34.7100
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Balanced Managed Investment Life
|
Category
Balanced Allocation
|
Latest NAV
204.8885
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Managers Fund
|
Category
Aggressive Allocation
|
Latest NAV
52.7108
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Growth Fund Investment Life
|
Category
Large-Cap
|
Latest NAV
409.4842
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Group Pension Secure Managed Fund
|
Category
Group Bond
|
Latest NAV
90.8069
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Equity Managed Investment Life II
|
Category
Large-Cap
|
Latest NAV
48.8443
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Mid Cap Niche Life Fund
|
Category
Mid-Cap
|
Latest NAV
100.7359
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Income Wealth Builder
|
Category
Medium to Long Duration
|
Latest NAV
28.8185
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Group Pension Stable Managed Fund
|
Category
Group Bond
|
Latest NAV
82.5627
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Large Cap Niche Life Fund
|
Category
Large-Cap
|
Latest NAV
60.8097
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Money Plus Fund
|
Category
Short Duration
|
Latest NAV
23.7287
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Growth Fund Investment Pension
|
Category
Large-Cap
|
Latest NAV
393.3857
|
NAV Date
Mar 31, 2025
|
HDFC Standard Life - Group Life Secure Managed Fund II
|
Category
Group Bond
|
Latest NAV
35.7597
|
NAV Date
Mar 31, 2025
|