HDFC Pension Fund · All NPS schemes
HDFC Pension Management Company Limited Scheme G - Tier I
Scheme G — Tier I · POP
HDFC Pension Management Company Limited Scheme G - Tier I closed at a NAV of ₹28.52 on 01 Oct 2026, a +6.13% annualised return over three years.
NAV · 01 Oct 2026
₹28.52
1 year
+1.98%
5Y CAGR
+5.51%
Max drawdown
-7.08%
NAV history
+2.24%CAGR
Returns
- 1 year
- +1.98%
- 3 years
- +6.13%
- 5 years
- +5.51%
- 10 years
- +6.87%
- Since launch
- +8.25%
- Max drawdown
- -7.08%
- Volatility
- 3.31%
Returns over a year are CAGR; since-launch under a year is absolute. Volatility is the annualised standard deviation of daily returns.
About this scheme
- Pension fund
- HDFC Pension Fund Management Limited
- Scheme
- Scheme G — Tier I
- Variant
- POP
- Scheme ID
- SM008003
- First NAV
- 01 Jul 2013
- NAVs on record
- 3215
Other variants
| HDFC Pension Fund Management Limited Scheme G - Tier I GS GS | 28.57 | 01 Oct 2026 |
| HDFC Pension Fund Management Limited Scheme G - Tier I Direct Direct | 28.57 | 01 Oct 2026 |
Scheme G — Tier I at other pension funds
| Pension fund | 1Y | 3Y | 5Y |
|---|---|---|---|
| SBI Pension Funds | +2.32% | +6.57% | +5.79% |
| UTI Pension Fund | +2.28% | +6.50% | +5.83% |
| LIC Pension Fund | +2.17% | +6.47% | +5.78% |
| Kotak Mahindra Pension Fund | +1.82% | +5.90% | +5.45% |
| ICICI Pension Fund | +2.58% | +6.38% | +5.68% |
| Aditya Birla Sunlife Pension Fund | +2.44% | +6.62% | +5.95% |
| Tata Pension Fund | +1.57% | +5.96% | — |
| Axis Pension Fund | +2.06% | +6.15% | — |
| DSP Pension Fund Managers | +1.88% | — | — |
Source: NAVs published by NPS Trust. Past returns do not predict future ones, and nothing here is advice.