Skip to Navigation
Skip to Main Content
Contact us
Home
About
Schemes
Investor Desk
Distributors
Downloads
Media
Knowledge Centre
Statutory Disclosures
Request a Call Back
Contact
EN
Existing Investor
New Investor
Quick Search
×
A-
A
A+
Net Asset Value (NAV) -
Parag Parikh Conservative Hybrid Fund
Home
Schemes
Parag Parikh Conservative Hybrid Fund
Net Asset Value (NAV)
AUM (₹ Crores)
3,344.68
As on May 31, 2026
NAV (Direct Plan)
15.9952
As on Jun 18, 2026
NAV (Regular Plan)
15.7536
As on Jun 18, 2026
Insider Holdings
₹ 11.28 Cr.
As on May 31, 2026
Scheme
Parag Parikh Conservative Hybrid Fund
Net Asset Value (NAV)
Income Distribution cum Capital Withdrawal Option
Transaction Timelines
Important
Fund Managers
Asset Allocation
State Development Loans (SDLs)
Services Offered
Is this the right scheme for you?
We have invested too!
Load structure
Terms of Issue
Risk Factors
FAQS
Tax Corner
Select One
Parag Parikh Conservative Hybrid Fund
Net Asset Value (NAV)
Income Distribution cum Capital Withdrawal Option
Transaction Timelines
Asset Allocation
State Development Loans (SDLs)
Fund Managers
Is this the right scheme for you? 🤔
We have invested too!
Load structure
Terms of Issue
Risk Factors
FAQS
Tax Corner
Net Asset Value (NAV) History
Select Date Range
Start Date
End Date