Skip to Navigation Skip to Main Content Contact us
Skip to Navigation Skip to Main Content Contact us
  • Net Asset Value (NAV) for Parag Parikh Conservative Hybrid Fund

    Net Asset Value (NAV)

    Sale and Repurchase NAV
    Date Direct Regular
    02-05-2024 13.6048 13.4859
    30-04-2024 13.5684 13.4500
    29-04-2024 13.5442 13.4262
    26-04-2024 13.5587 13.4409
    25-04-2024 13.5413 13.4237
    24-04-2024 13.5160 13.3988
    23-04-2024 13.4901 13.3732
    Sale and Repurchase NAV
    Date Direct Regular
    02-05-2024 10.7559 10.8269
    30-04-2024 10.7271 10.7981
    29-04-2024 10.7080 10.7789
    26-04-2024 10.8349 10.8932
    25-04-2024 10.8210 10.8793
    24-04-2024 10.8008 10.8591
    23-04-2024 10.7801 10.8383

    Click here for NAV History

    Parag Parikh Conservative Hybrid Fund
    This product is suitable for investors who are seeking*
    • To generate regular income through investments predominantly in debt and money market instruments.
    • Long term capital appreciation from the portion of equity investments under the scheme.
    riskometer

    *Investors should consult their financial advisers if in doubt about whether the product is suitable for them.


    Riskometers as on March 31, 2024


    Mutual Fund investments are subject to market risks, read all scheme related documents carefully.
    © PPFAS Asset Management Private Limited. All rights reserved.
    Sponsor: Parag Parikh Financial Advisory Services Limited. [CIN: U67190MH1992PLC068970], Trustee: PPFAS Trustee Company Private Limited. [CIN: U65100MH2011PTC221203], Investment Manager (AMC): PPFAS Asset Management Private Limited. [CIN: U65100MH2011PTC220623]