Filters

Clear All
Asset Type
Fund Type
Fund Option
Rating
Risk Profile
Fund Category
Fund House

Long Term Growth

Invest in stocks and bonds - Hybrid Mutual Funds

Hybrid Mutual Funds - These are the types of Mutual Funds that invests both asset classes - Equity & Debt assets to balance the risk-reward ratio. These funds invest in Deb & Equity in various proportion to gain more returns. Opt for the best of all Hybrid Mutual Funds in India to invest in, listed along their NAV, SIP performance, returns, track record and scheme information.

Quant Absolute Fund - Direct (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 75.69% 1 Year
  • 96.09 Cr AUM (₹)
  • 290.8369 NAV (₹)

Quant Multi Asset Fund - Direct (G)

  • Multi Asset Allocation
  • Very High Risk
  • 5
  • 68.84% 1 Year
  • 117.3 Cr AUM (₹)
  • 78.6657 NAV (₹)

BOI AXA Mid & Small Cap Equity & Debt Fund-Dir (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5

BNP Paribas Substantial Equity Hybrid Fund-Dir (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 47.17% 1 Year
  • 714.65 Cr AUM (₹)
  • 20.5418 NAV (₹)

Kotak Equity Hybrid Fund - Direct (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 51.97% 1 Year
  • 2071.11 Cr AUM (₹)
  • 45.012 NAV (₹)

AXIS Triple Advantage Fund - Direct (G)

  • Multi Asset Allocation
  • Very High Risk
  • 5
  • 46.34% 1 Year
  • 1434.78 Cr AUM (₹)
  • 35.294 NAV (₹)

DSP Equity & Bond Fund - Direct (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 51.05% 1 Year
  • 7562.78 Cr AUM (₹)
  • 266.142 NAV (₹)

ICICI Pru Equity & Debt Fund - Direct (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 79.72% 1 Year
  • 18652.85 Cr AUM (₹)
  • 242.1 NAV (₹)

Canara Robeco Equity Hybrid Fund - Direct (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 42.74% 1 Year
  • 6745.69 Cr AUM (₹)
  • 274.36 NAV (₹)

AXIS Equity Hybrid Fund - Direct (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 47.29% 1 Year
  • 1868.13 Cr AUM (₹)
  • 17.13 NAV (₹)

SBI Equity Hybrid Fund - Direct (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 48.91% 1 Year
  • 47469.96 Cr AUM (₹)
  • 226.7731 NAV (₹)

Mirae Asset Hybrid - Equity Fund - Direct (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 45.64% 1 Year
  • 6109.36 Cr AUM (₹)
  • 25.152 NAV (₹)

Motilal Oswal Equity Hybrid Fund - Direct (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 34.37% 1 Year
  • 450.54 Cr AUM (₹)
  • 16.4974 NAV (₹)

IDFC Hybrid Equity Fund - Direct (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 53.71% 1 Year
  • 587.42 Cr AUM (₹)
  • 19.26 NAV (₹)

Edelweiss Balanced Advantage Fund - Dir (G)

  • Dynamic Asset Allocation or Balanced Advantage
  • Very High Risk
  • 5
  • 37.28% 1 Year
  • 5845.33 Cr AUM (₹)
  • 39.88 NAV (₹)

ICICI Pru Multi-Asset Fund - Direct (G)

  • Multi Asset Allocation
  • Very High Risk
  • 5
  • 67.49% 1 Year
  • 12405.33 Cr AUM (₹)
  • 453.4046 NAV (₹)

Edelweiss Aggressive Hybrid Fund - Direct (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 50.54% 1 Year
  • 100.87 Cr AUM (₹)
  • 41.88 NAV (₹)

Baroda Hybrid Equity Fund-Plan B-Dir (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 52.86% 1 Year
  • 413.57 Cr AUM (₹)
  • 95.4 NAV (₹)

Sundaram Equity Hybrid Fund - Direct (G)

  • Aggressive Hybrid Fund
  • High Risk
  • 5
  • 48.40% 1 Year
  • 1957.29 Cr AUM (₹)
  • 149.1885 NAV (₹)

LIC MF ULIS - Direct (IDCW)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 51.77% 1 Year
  • 419.83 Cr AUM (₹)
  • 30.2169 NAV (₹)

HDFC Hybrid Equity Fund - Direct (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 51.10% 1 Year
  • 18908.77 Cr AUM (₹)
  • 86.101 NAV (₹)

Franklin India Equity Hybrid Fund - Direct (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 51.95% 1 Year
  • 1469.98 Cr AUM (₹)
  • 200.3807 NAV (₹)

PGIM India Hybrid Equity Fund - Dir (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 46.38% 1 Year
  • 161.86 Cr AUM (₹)
  • 114.78 NAV (₹)

Principal Hybrid Equity Fund - Direct (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 49.99% 1 Year
  • 1114.88 Cr AUM (₹)
  • 128.03 NAV (₹)

UTI-Hybrid Equity Fund - Direct (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 57.13% 1 Year
  • 4247.33 Cr AUM (₹)
  • 271.2865 NAV (₹)

HDFC Multi-Asset Fund - Direct (G)

  • Multi Asset Allocation
  • Very High Risk
  • 5
  • 32.83% 1 Year
  • 1185.99 Cr AUM (₹)
  • 51.042 NAV (₹)

Tata Hybrid Equity Fund - Direct (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 46.47% 1 Year
  • 3450.95 Cr AUM (₹)
  • 337.5676 NAV (₹)

HDFC Balanced Advantage Fund - Direct (G)

  • Dynamic Asset Allocation or Balanced Advantage
  • Very High Risk
  • 5
  • 64.46% 1 Year
  • 43246.73 Cr AUM (₹)
  • 305.119 NAV (₹)

JM Equity Hybrid Fund - Direct (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 53.67% 1 Year
  • 10.02 Cr AUM (₹)
  • 77.7062 NAV (₹)

Navi 3 In 1 Fund - Direct (G)

  • Multi Asset Allocation
  • Very High Risk
  • 5
  • 40.22% 1 Year
  • 18.36 Cr AUM (₹)
  • 29.573 NAV (₹)

JM Equity Hybrid Fund - Direct (Half-Bonus)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 53.69% 1 Year
  • 10.02 Cr AUM (₹)
  • 79.5446 NAV (₹)

JM Equity Hybrid Fund - Direct (Quarterly-Bonus)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 53.69% 1 Year
  • 10.02 Cr AUM (₹)
  • 79.5446 NAV (₹)

JM Equity Hybrid Fund - Direct (Annual-Bonus)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 53.67% 1 Year
  • 10.02 Cr AUM (₹)
  • 77.8309 NAV (₹)

Navi Equity Hybrid Fund - Direct (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 39.65% 1 Year
  • 110.67 Cr AUM (₹)
  • 15.5689 NAV (₹)

L&T Hybrid Equity Fund - Direct (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 41.13% 1 Year
  • 5459.5 Cr AUM (₹)
  • 42.151 NAV (₹)

Invesco India Equity & Bond Fund - Direct (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 37.50% 1 Year
  • 401.86 Cr AUM (₹)
  • 15.751 NAV (₹)

Aditya Birla SL Equity Hybrid '95 Fund-Direct (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 50.20% 1 Year
  • 8153.08 Cr AUM (₹)
  • 1214.26 NAV (₹)

Shriram Hybrid Equity Fund-Dir (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 37.61% 1 Year
  • 64.87 Cr AUM (₹)
  • 25.762 NAV (₹)

Mahindra Manulife Equity Savings DSY - Dir (G)

  • Equity Savings
  • Moderately High Risk
  • 5
  • 31.78% 1 Year
  • 301.04 Cr AUM (₹)
  • 17.4107 NAV (₹)

LIC MF Equity Hybrid Fund - Direct (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 34.28% 1 Year
  • 487.61 Cr AUM (₹)
  • 153.3358 NAV (₹)

IDBI Hybrid Equity Fund - Direct (G)

  • Aggressive Hybrid Fund
  • Very High Risk
  • 5
  • 42.63% 1 Year
  • 209.2 Cr AUM (₹)
  • 18.0718 NAV (₹)

Union Balanced Advantage Fund - Direct (G)

  • Dynamic Asset Allocation or Balanced Advantage
  • Moderate Risk
  • 5
  • 22.00% 1 Year
  • 1448.39 Cr AUM (₹)
  • 15.64 NAV (₹)

Kotak Balanced Advantage Fund - Direct (G)

  • Dynamic Asset Allocation or Balanced Advantage
  • High Risk
  • 5
  • 23.79% 1 Year
  • 11286.23 Cr AUM (₹)
  • 15.124 NAV (₹)

Kotak Debt Hybrid Fund - Direct (G)

  • Conservative Hybrid Fund
  • High Risk
  • 5
  • 23.30% 1 Year
  • 1050.02 Cr AUM (₹)
  • 47.3944 NAV (₹)

Aditya Birla SL Balanced Advantage Fund-Dir (G)

  • Dynamic Asset Allocation or Balanced Advantage
  • Moderately High Risk
  • 5
  • 31.82% 1 Year
  • 5484.87 Cr AUM (₹)
  • 80.86 NAV (₹)

IDFC Balanced Advantage Fund - Direct (G)

  • Dynamic Asset Allocation or Balanced Advantage
  • Moderately High Risk
  • 5
  • 24.92% 1 Year
  • 2604.39 Cr AUM (₹)
  • 20.25 NAV (₹)

ICICI Pru Balanced Advantage Fund - Dir (G)

  • Dynamic Asset Allocation or Balanced Advantage
  • High Risk
  • 5
  • 28.50% 1 Year
  • 35736.74 Cr AUM (₹)
  • 53.92 NAV (₹)

Nippon India Balanced Advantage Fund - Direct (G)

  • Dynamic Asset Allocation or Balanced Advantage
  • High Risk
  • 5
  • 33.14% 1 Year
  • 4799.05 Cr AUM (₹)
  • 134.1605 NAV (₹)
  • 32.98% 1 Year
  • 101.47 Cr AUM (₹)
  • 55.4945 NAV (₹)

SBI Multi Asset Allocation Fund - Direct (G)

  • Multi Asset Allocation
  • High Risk
  • 5
  • 25.56% 1 Year
  • 460.17 Cr AUM (₹)
  • 40.7393 NAV (₹)