Top 3-Year Performer
Highest 3Y Return
31.25%
Nippon India Aggressive Hybrid Fund (Existing Number of Segregated Portfolios - 2)Aggressive Hybrid Fund • Nippon India Mutual Fund
View FundBased on trailing 3-year return
Mutual Fund Subcategory
Explore Aggressive Hybrid Fund mutual funds within the Hybrid category.
Highlights based on currently available historical return data.
Top 3-Year Performer
31.25%
Nippon India Aggressive Hybrid Fund (Existing Number of Segregated Portfolios - 2)Aggressive Hybrid Fund • Nippon India Mutual Fund
View FundBased on trailing 3-year return
Weighted Performance
44.85%
Nippon India Aggressive Hybrid Fund (Existing Number of Segregated Portfolios - 2)Aggressive Hybrid Fund • Nippon India Mutual Fund
View FundWeighted score: 20% 1Y, 40% 3Y and 40% 5Y
Multi-Period Performance
44.85%
Nippon India Aggressive Hybrid Fund (Existing Number of Segregated Portfolios - 2)Aggressive Hybrid Fund • Nippon India Mutual Fund
View FundWeighted score: 20% 1Y, 40% 3Y and 40% 5Y
31 eligible public funds found.
| Fund | AMC / Subcategory | NAV | 1Y | 3Y Sorted from lowest to highest return | 5Y | 10Y |
|---|---|---|---|---|---|---|
| HDFC Aggressive Hybrid Fund | HDFC Mutual Fund | 109.2280 | -7.18% | 4.74% | 6.90% | 9.11% |
| Tata Aggressive Hybrid Fund | Tata Mutual Fund | 417.7409 | -3.62% | 6.19% | 6.66% | 8.26% |
| Shriram Aggressive Hybrid Fund | Shriram Mutual Fund | 30.5620 | -2.34% | 6.50% | 5.64% | 7.91% |
| Groww Aggressive Hybrid Fund | Groww Mutual Fund | 19.7222 | -5.08% | 6.60% | 6.04% | — |
| PGIM India Aggressive Hybrid Equity Fund | PGIM India Mutual Fund | 123.4400 | -5.06% | 6.75% | 4.70% | 7.49% |
| Sundaram Aggressive Hybrid Fund (Formerly Known as Principal Hybrid Equity Fund) | Sundaram Mutual Fund | 152.8464 | -4.97% | 6.94% | — | — |
| Axis Aggressive Hybrid Fund | Axis Mutual Fund | 19.9900 | -1.82% | 7.40% | 5.05% | — |
| Franklin India Aggressive Hybrid Fund | Franklin Templeton Mutual Fund | 255.9057 | -4.73% | 7.44% | 7.64% | 9.64% |
| DSP Aggressive Hybrid Fund | DSP Mutual Fund | 334.9720 | -5.85% | 7.75% | 7.13% | 10.13% |
| Aditya Birla Sun Life Aggressive Hybrid Fund | Aditya Birla Sun Life Mutual Fund | 1,478.5800 | -2.73% | 7.97% | 6.57% | 8.57% |
| Invesco India Aggressive Hybrid Fund | Invesco Mutual Fund | 20.5415 | -8.33% | 8.33% | 7.32% | — |
| BARODA BNP PARIBAS AGGRESSIVE HYBRID FUND | Baroda BNP Paribas Mutual Fund | 26.8386 | -2.85% | 8.42% | — | — |
| Union Aggressive Hybrid Fund | Union Mutual Fund | 17.9800 | 0.11% | 8.45% | 7.33% | — |
| Canara Robeco Aggressive Hybrid Fund | Canara Robeco Mutual Fund | 351.7600 | -2.34% | 8.56% | 7.44% | 10.74% |
| Nippon India Aggressive Hybrid Fund (Existing Number of Segregated Portfolios - 2) | Nippon India Mutual Fund | 102.0997 | -2.74% | 8.61% | 9.29% | 8.50% |
| Mirae Asset Aggressive Hybrid Fund | Mirae Asset Mutual Fund | 32.1680 | 0.02% | 8.86% | 7.94% | 11.08% |
| UTI Aggressive Hybrid Fund | UTI Mutual Fund | 388.8996 | -2.82% | 8.92% | 9.40% | 10.44% |
| Mahindra Manulife Aggressive Hybrid Fund | Mahindra Manulife Mutual Fund | 25.5908 | -5.64% | 8.93% | 8.94% | — |
| JM Aggressive Hybrid Fund | JM Financial Mutual Fund | 115.8634 | -3.10% | 9.67% | 10.64% | 11.34% |
| Navi Aggressive Hybrid Fund | Navi Mutual Fund | 21.6888 | 4.96% | 9.86% | 8.94% | — |
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Common questions about this mutual fund category and the data shown on this page.
Aggressive Hybrid Fund mutual funds are schemes classified under the Hybrid category. They follow the investment objective and portfolio characteristics associated with this subcategory.
This page currently includes 31 publicly visible Aggressive Hybrid Fund schemes from 30 AMCs.
Funds are shown using available historical return data. The default listing is ordered by the highest 3-year return, and visitors can sort the supported return columns or apply the available filters.
No. Historical returns alone do not determine suitability. Investors should also consider risk, investment horizon, financial goals, portfolio characteristics and professional advice where appropriate.
The latest NAV date currently available for this archive is October 1, 2026. Individual schemes may have different data availability.