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Fund Performance Check

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HDFC Life Sampoorn Nivesh Fund Performance

List of Funds available with this product

Equity Funds

View All

Midcap Momentum Fund

ULIF07317/01/24MidCpMoIdx101

NAV

11.021

2024-05-28

52 wk High

2024-05-27

11.1317

52 wk Low

2024-04-19

9.8423

*HDFC Fund Performance 4.47%

vs

i *Market Benchmark 7.68%

NIFTY MIDCAP150 MOMENTUM 50 (100%)

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

11.021

2024-05-28

52 wk High

2024-05-27

11.1317

52 wk Low

2024-04-19

9.8423

*HDFC Fund Performance N.A.

vs

i *Market Benchmark N.A.

NIFTY MIDCAP150 MOMENTUM 50 (100%)

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

11.021

2024-05-28

52 wk High

2024-05-27

11.1317

52 wk Low

2024-04-19

9.8423

*HDFC Fund Performance N.A.

vs

i *Market Benchmark N.A.

NIFTY MIDCAP150 MOMENTUM 50 (100%)

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

11.021

2024-05-28

52 wk High

2024-05-27

11.1317

52 wk Low

2024-04-19

9.8423

*HDFC Fund Performance N.A.

vs

i *Market Benchmark N.A.

NIFTY MIDCAP150 MOMENTUM 50 (100%)

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

Equity Plus Fund

ULIF05301/08/13EquityPlus101

NAV

30.6667

2024-05-28

52 wk High

2024-05-23

30.7567

52 wk Low

2023-06-01

24.5954

*HDFC Fund Performance 1.91%

vs

i *Market Benchmark 1.24%

Nifty 50

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

30.6667

2024-05-28

52 wk High

2024-05-23

30.7567

52 wk Low

2023-06-01

24.5954

*HDFC Fund Performance 26.14%

vs

i *Market Benchmark 25.13%

Nifty 50

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

30.6667

2024-05-28

52 wk High

2024-05-23

30.7567

52 wk Low

2023-06-01

24.5954

*HDFC Fund Performance 16.38%

vs

i *Market Benchmark 15.60%

Nifty 50

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

30.6667

2024-05-28

52 wk High

2024-05-23

30.7567

52 wk Low

2023-06-01

24.5954

*HDFC Fund Performance 14.80%

vs

i *Market Benchmark 13.98%

Nifty 50

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

Diversified Equity Fund

ULIF05501/08/13DivrEqtyFd101

NAV

38.0999

2024-05-28

52 wk High

2024-05-27

38.2093

52 wk Low

2023-06-01

29.8784

*HDFC Fund Performance 3.20%

vs

i *Market Benchmark 2.00%

BSE100

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

38.0999

2024-05-28

52 wk High

2024-05-27

38.2093

52 wk Low

2023-06-01

29.8784

*HDFC Fund Performance 28.99%

vs

i *Market Benchmark 29.66%

BSE100

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

38.0999

2024-05-28

52 wk High

2024-05-27

38.2093

52 wk Low

2023-06-01

29.8784

*HDFC Fund Performance 16.72%

vs

i *Market Benchmark 17.00%

BSE100

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

38.0999

2024-05-28

52 wk High

2024-05-27

38.2093

52 wk Low

2023-06-01

29.8784

*HDFC Fund Performance 15.91%

vs

i *Market Benchmark 14.89%

BSE100

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

Blue Chip Fund

ULIF03501/01/10BlueChipFd101

NAV

47.107

2024-05-28

52 wk High

2024-05-23

47.2301

52 wk Low

2023-06-01

37.4467

*HDFC Fund Performance 2.36%

vs

i *Market Benchmark 2.00%

BSE100

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

47.107

2024-05-28

52 wk High

2024-05-23

47.2301

52 wk Low

2023-06-01

37.4467

*HDFC Fund Performance 26.80%

vs

i *Market Benchmark 29.66%

BSE100

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

47.107

2024-05-28

52 wk High

2024-05-23

47.2301

52 wk Low

2023-06-01

37.4467

*HDFC Fund Performance 15.83%

vs

i *Market Benchmark 17.00%

BSE100

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

47.107

2024-05-28

52 wk High

2024-05-23

47.2301

52 wk Low

2023-06-01

37.4467

*HDFC Fund Performance 14.69%

vs

i *Market Benchmark 14.89%

BSE100

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

Opportunities Fund

ULIF03601/01/10OpprtntyFd101

NAV

69.8936

2024-05-28

52 wk High

2024-05-27

70.2456

52 wk Low

2023-05-29

49.0162

*HDFC Fund Performance 4.36%

vs

i *Market Benchmark 5.81%

Nifty Mid Cap 100

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

69.8936

2024-05-28

52 wk High

2024-05-27

70.2456

52 wk Low

2023-05-29

49.0162

*HDFC Fund Performance 46.50%

vs

i *Market Benchmark 59.99%

Nifty Mid Cap 100

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

69.8936

2024-05-28

52 wk High

2024-05-27

70.2456

52 wk Low

2023-05-29

49.0162

*HDFC Fund Performance 20.95%

vs

i *Market Benchmark 28.11%

Nifty Mid Cap 100

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

69.8936

2024-05-28

52 wk High

2024-05-27

70.2456

52 wk Low

2023-05-29

49.0162

*HDFC Fund Performance 19.25%

vs

i *Market Benchmark 23.70%

Nifty Mid Cap 100

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

Discovery Fund

ULIF06618/01/18DiscvryFnd101

NAV

36.1136

2024-05-28

52 wk High

2024-05-27

36.3635

52 wk Low

2023-05-29

24.3711

*HDFC Fund Performance 4.90%

vs

i *Market Benchmark 5.81%

Nifty Mid Cap 100

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

36.1136

2024-05-28

52 wk High

2024-05-27

36.3635

52 wk Low

2023-05-29

24.3711

*HDFC Fund Performance 51.11%

vs

i *Market Benchmark 59.99%

Nifty Mid Cap 100

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

36.1136

2024-05-28

52 wk High

2024-05-27

36.3635

52 wk Low

2023-05-29

24.3711

*HDFC Fund Performance 25.53%

vs

i *Market Benchmark 28.11%

Nifty Mid Cap 100

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

36.1136

2024-05-28

52 wk High

2024-05-27

36.3635

52 wk Low

2023-05-29

24.3711

*HDFC Fund Performance 26.87%

vs

i *Market Benchmark 23.70%

Nifty Mid Cap 100

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

Equity Advantage Fund

ULIF06723/03/18EqtyAdvtFd101

NAV

25.7978

2024-05-28

52 wk High

2024-05-27

25.8783

52 wk Low

2023-06-01

19.0357

*HDFC Fund Performance 3.82%

vs

i *Market Benchmark 2.67%

BSE200

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

25.7978

2024-05-28

52 wk High

2024-05-27

25.8783

52 wk Low

2023-06-01

19.0357

*HDFC Fund Performance 38.10%

vs

i *Market Benchmark 34.50%

BSE200

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

25.7978

2024-05-28

52 wk High

2024-05-27

25.8783

52 wk Low

2023-06-01

19.0357

*HDFC Fund Performance 20.13%

vs

i *Market Benchmark 18.08%

BSE200

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

25.7978

2024-05-28

52 wk High

2024-05-27

25.8783

52 wk Low

2023-06-01

19.0357

*HDFC Fund Performance 20.02%

vs

i *Market Benchmark 16.10%

BSE200

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

* Data as of 30th April 2024. Past Performance is not indicative of future performance of the fund.

NAV

29.4937

17.09.2020

52 week High

07.02.2020

30.30

52 week Low

23.03.2020

19.51

* Data as of 30th April 2024. Past Performance is not indicative of future performance of the fund.

* Data as of 30th April 2024. Past Performance is not indicative of future performance of the fund.

Midcap Momentum Fund

ULIF07317/01/24MidCpMoIdx101

NAV

11.021

2024-05-28

52 wk High

2024-05-27

11.1317

52 wk Low

2024-04-19

9.8423

*HDFC Fund Performance

vs

i *Market Benchmark

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

Equity Plus Fund

ULIF05301/08/13EquityPlus101

NAV

30.6667

2024-05-28

52 wk High

2024-05-23

30.7567

52 wk Low

2023-06-01

24.5954

*HDFC Fund Performance

vs

i *Market Benchmark

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

Diversified Equity Fund

ULIF05501/08/13DivrEqtyFd101

NAV

38.0999

2024-05-28

52 wk High

2024-05-27

38.2093

52 wk Low

2023-06-01

29.8784

*HDFC Fund Performance

vs

i *Market Benchmark

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

Blue Chip Fund

ULIF03501/01/10BlueChipFd101

NAV

47.107

2024-05-28

52 wk High

2024-05-23

47.2301

52 wk Low

2023-06-01

37.4467

*HDFC Fund Performance

vs

i *Market Benchmark

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

Opportunities Fund

ULIF03601/01/10OpprtntyFd101

NAV

69.8936

2024-05-28

52 wk High

2024-05-27

70.2456

52 wk Low

2023-05-29

49.0162

*HDFC Fund Performance

vs

i *Market Benchmark

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

Discovery Fund

ULIF06618/01/18DiscvryFnd101

NAV

36.1136

2024-05-28

52 wk High

2024-05-27

36.3635

52 wk Low

2023-05-29

24.3711

*HDFC Fund Performance

vs

i *Market Benchmark

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

Equity Advantage Fund

ULIF06723/03/18EqtyAdvtFd101

NAV

25.7978

2024-05-28

52 wk High

2024-05-27

25.8783

52 wk Low

2023-06-01

19.0357

*HDFC Fund Performance

vs

i *Market Benchmark

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

* Data as of 30th April 2024. Past Performance is not indicative of future performance of the fund.

Debts Funds

View All

Income Fund

ULIF03401/01/10IncomeFund101

NAV

26.9268

2024-05-28

52 wk High

2024-05-27

26.9413

52 wk Low

2023-07-07

25.399

*HDFC Fund Performance -0.45%

vs

i *Market Benchmark -0.12%

CRISIL Composite Bond Fund Index

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

26.9268

2024-05-28

52 wk High

2024-05-27

26.9413

52 wk Low

2023-07-07

25.399

*HDFC Fund Performance 5.31%

vs

i *Market Benchmark 6.77%

CRISIL Composite Bond Fund Index

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

26.9268

2024-05-28

52 wk High

2024-05-27

26.9413

52 wk Low

2023-07-07

25.399

*HDFC Fund Performance 3.90%

vs

i *Market Benchmark 5.16%

CRISIL Composite Bond Fund Index

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

26.9268

2024-05-28

52 wk High

2024-05-27

26.9413

52 wk Low

2023-07-07

25.399

*HDFC Fund Performance 5.88%

vs

i *Market Benchmark 7.31%

CRISIL Composite Bond Fund Index

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

Bond Fund

ULIF05601/08/13Bond Funds101

NAV

19.3639

2024-05-28

52 wk High

2024-05-27

19.3744

52 wk Low

2023-07-07

18.2681

*HDFC Fund Performance -0.51%

vs

i *Market Benchmark -0.12%

CRISIL Composite Bond Fund Index

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

19.3639

2024-05-28

52 wk High

2024-05-27

19.3744

52 wk Low

2023-07-07

18.2681

*HDFC Fund Performance 5.31%

vs

i *Market Benchmark 6.77%

CRISIL Composite Bond Fund Index

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

19.3639

2024-05-28

52 wk High

2024-05-27

19.3744

52 wk Low

2023-07-07

18.2681

*HDFC Fund Performance 3.99%

vs

i *Market Benchmark 5.16%

CRISIL Composite Bond Fund Index

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

19.3639

2024-05-28

52 wk High

2024-05-27

19.3744

52 wk Low

2023-07-07

18.2681

*HDFC Fund Performance 5.89%

vs

i *Market Benchmark 7.31%

CRISIL Composite Bond Fund Index

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

Conservative Fund

ULIF05801/08/13ConsertvFd101

NAV

18.3713

2024-05-28

52 wk High

2024-05-27

18.3724

52 wk Low

2023-05-29

17.3563

*HDFC Fund Performance 0.30%

vs

i *Market Benchmark 0.45%

CRISIL Short Term Bond Fund Index

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

18.3713

2024-05-28

52 wk High

2024-05-27

18.3724

52 wk Low

2023-05-29

17.3563

*HDFC Fund Performance 5.67%

vs

i *Market Benchmark 7.14%

CRISIL Short Term Bond Fund Index

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

18.3713

2024-05-28

52 wk High

2024-05-27

18.3724

52 wk Low

2023-05-29

17.3563

*HDFC Fund Performance 4.11%

vs

i *Market Benchmark 5.52%

CRISIL Short Term Bond Fund Index

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

18.3713

2024-05-28

52 wk High

2024-05-27

18.3724

52 wk Low

2023-05-29

17.3563

*HDFC Fund Performance 5.44%

vs

i *Market Benchmark 6.95%

CRISIL Short Term Bond Fund Index

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

* Data as of 30th April 2024. Past Performance is not indicative of future performance of the fund.

NAV

29.4937

17.09.2020

52 week High

07.02.2020

30.30

52 week Low

23.03.2020

19.51

* Data as of 30th April 2024. Past Performance is not indicative of future performance of the fund.

* Data as of 30th April 2024. Past Performance is not indicative of future performance of the fund.

Income Fund

ULIF03401/01/10IncomeFund101

NAV

26.9268

2024-05-28

52 wk High

2024-05-27

26.9413

52 wk Low

2023-07-07

25.399

*HDFC Fund Performance

vs

i *Market Benchmark

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

Bond Fund

ULIF05601/08/13Bond Funds101

NAV

19.3639

2024-05-28

52 wk High

2024-05-27

19.3744

52 wk Low

2023-07-07

18.2681

*HDFC Fund Performance

vs

i *Market Benchmark

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

Conservative Fund

ULIF05801/08/13ConsertvFd101

NAV

18.3713

2024-05-28

52 wk High

2024-05-27

18.3724

52 wk Low

2023-05-29

17.3563

*HDFC Fund Performance

vs

i *Market Benchmark

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

* Data as of 30th April 2024. Past Performance is not indicative of future performance of the fund.

Hybrid Funds

View All

Balanced Fund

ULIF03901/09/10BalancedFd101

NAV

36.4178

2024-05-28

52 wk High

2024-05-27

36.5004

52 wk Low

2023-06-01

30.9364

*HDFC Fund Performance 1.24%

vs

i *Market Benchmark 1.15%

60% BSE100 40% CRISIL Composite Bond Fund Index

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

36.4178

2024-05-28

52 wk High

2024-05-27

36.5004

52 wk Low

2023-06-01

30.9364

*HDFC Fund Performance 18.20%

vs

i *Market Benchmark 20.50%

60% BSE100 40% CRISIL Composite Bond Fund Index

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

36.4178

2024-05-28

52 wk High

2024-05-27

36.5004

52 wk Low

2023-06-01

30.9364

*HDFC Fund Performance 11.32%

vs

i *Market Benchmark 12.27%

60% BSE100 40% CRISIL Composite Bond Fund Index

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

36.4178

2024-05-28

52 wk High

2024-05-27

36.5004

52 wk Low

2023-06-01

30.9364

*HDFC Fund Performance 11.09%

vs

i *Market Benchmark 11.86%

60% BSE100 40% CRISIL Composite Bond Fund Index

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

Flexi Cap Fund

ULIF07114/07/23FlexiCapFd101

NAV

13.8567

2024-05-28

52 wk High

2024-05-27

13.9068

52 wk Low

2023-11-01

9.9443

*HDFC Fund Performance 4.81%

vs

i *Market Benchmark 3.66%

NSE Nifty 500 (100%)

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

13.8567

2024-05-28

52 wk High

2024-05-27

13.9068

52 wk Low

2023-11-01

9.9443

*HDFC Fund Performance N.A.

vs

i *Market Benchmark N.A.

NSE Nifty 500 (100%)

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

13.8567

2024-05-28

52 wk High

2024-05-27

13.9068

52 wk Low

2023-11-01

9.9443

*HDFC Fund Performance N.A.

vs

i *Market Benchmark N.A.

NSE Nifty 500 (100%)

Note: returns over 1 year have been annualized

+0.20%

-0.20%

NAV

13.8567

2024-05-28

52 wk High

2024-05-27

13.9068

52 wk Low

2023-11-01

9.9443

*HDFC Fund Performance N.A.

vs

i *Market Benchmark N.A.

NSE Nifty 500 (100%)

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

Capital Guarantee Debt Fund life

ULGF04927/02/23CGDebtFund101

NAV

10.1406

2024-05-28

52 wk High

2024-05-27

10.149

52 wk Low

2024-04-19

9.9783

Capital Guarantee Debt Plus Fund Life

ULGF05027/02/23CGHybdFund101

NAV

10.0

2024-05-28

52 wk High

2023-10-09

10.0

52 wk Low

2023-10-09

10.0

Capital Guarantee Debt Fund Pension

ULGF05127/02/23CGDebtFund101

NAV

10.0

2024-05-28

52 wk High

2023-10-09

10.0

52 wk Low

2023-10-09

10.0

Capital Guarantee Debt Plus Fund Pension

ULGF05227/02/23CGHybdFund101

NAV

10.0

2024-05-28

52 wk High

2023-10-09

10.0

52 wk Low

2023-10-09

10.0

* Data as of 30th April 2024. Past Performance is not indicative of future performance of the fund.

NAV

29.4937

17.09.2020

52 week High

07.02.2020

30.30

52 week Low

23.03.2020

19.51

* Data as of 30th April 2024. Past Performance is not indicative of future performance of the fund.

* Data as of 30th April 2024. Past Performance is not indicative of future performance of the fund.

Balanced Fund

ULIF03901/09/10BalancedFd101

NAV

36.4178

2024-05-28

52 wk High

2024-05-27

36.5004

52 wk Low

2023-06-01

30.9364

*HDFC Fund Performance

vs

i *Market Benchmark

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

Flexi Cap Fund

ULIF07114/07/23FlexiCapFd101

NAV

13.8567

2024-05-28

52 wk High

2024-05-27

13.9068

52 wk Low

2023-11-01

9.9443

*HDFC Fund Performance

vs

i *Market Benchmark

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

Capital Guarantee Debt Fund life

ULGF04927/02/23CGDebtFund101

NAV

10.1406

2024-05-28

52 wk High

2024-05-27

10.149

52 wk Low

2024-04-19

9.9783

*HDFC Fund Performance

vs

i *Market Benchmark

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

Capital Guarantee Debt Plus Fund Life

ULGF05027/02/23CGHybdFund101

NAV

10.0

2024-05-28

52 wk High

2023-10-09

10.0

52 wk Low

2023-10-09

10.0

*HDFC Fund Performance

vs

i *Market Benchmark

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

Capital Guarantee Debt Fund Pension

ULGF05127/02/23CGDebtFund101

NAV

10.0

2024-05-28

52 wk High

2023-10-09

10.0

52 wk Low

2023-10-09

10.0

*HDFC Fund Performance

vs

i *Market Benchmark

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

Capital Guarantee Debt Plus Fund Pension

ULGF05227/02/23CGHybdFund101

NAV

10.0

2024-05-28

52 wk High

2023-10-09

10.0

52 wk Low

2023-10-09

10.0

*HDFC Fund Performance

vs

i *Market Benchmark

Note: returns over 1 year have been annualized

+0.20%

-0.20%

  • 1 Month
  • 1 Year
  • 3 Years
  • 5 Years

* Data as of 30th April 2024. Past Performance is not indicative of future performance of the fund.

Why HDFC Life Sampoorn Nivesh?

A Unit Linked Non Participating Life Insurance Plan for your financial protection needs

  • Choose from 10 funds to optimize your investment returns

  • Customize your premium payment options – Single, Limited or Regular

  • Choose from 3 convenient Benefit options to customize your payouts

  • Get Loyalty Additions3 of up to 1.8% of the average fund value after 10th policy year onwards

  • Reduced premium allocation charge on investing higher premium amount1

  • Avail Tax Benefit as per Income Tax Act, 19612

     

  • Choose from 10 funds to optimize your investment returns

  • Customize your premium payment options – Single, Limited or Regular

  • Choose from 3 convenient Benefit options to customize your payouts

  • Get Loyalty Additions3 of up to 1.8% of the average fund value after 10th policy year onwards

  • Reduced premium allocation charge on investing higher premium amount1

  • Avail Tax Benefit as per Income Tax Act, 19612

     

  1. Available for premium of ₹ 1 lakh & above for limited & regular premium payment options and ₹ 10 lakh & above for single premium payment option
  2. As per Income Tax Act, 1961. Tax benefits are subject to changes in tax laws
  3. Loyalty addtions for Single premiums policies shall be payable at the end of every policy year from year 10 to 14 (both inclusive). For limited and regular premium payment policies, loyalty Additions will be added to the fund value every alternate year starting from the end of 11th policy year.
  1. Available for premium of ₹ 1 lakh & above for limited & regular premium payment options and ₹ 10 lakh & above for single premium payment option
  2. As per Income Tax Act, 1961. Tax benefits are subject to changes in tax laws
  3. Loyalty addtions for Single premiums policies shall be payable at the end of every policy year from year 10 to 14 (both inclusive). For limited and regular premium payment policies, loyalty Additions will be added to the fund value every alternate year starting from the end of 11th policy year.

What makes this plan a must-have

You have the flexibility to choose your options and benefits.

Select your core objective for the insurance cover and view the benefits

  • Classic Benefit (Life Option)
  • Classic Benefit (Extra Life Option)
  • Classic Plus Benefit Option
  • Classic Waiver Benefit Option

Classic Benefit

(Complete death and maturity benefits)

Check Eligibility Criteria

Before buying HDFC Life Sampoorn Nivesh

ELIGIBILITY CRITERIA

Eligibility Criteria  Plan Options  Minimum  Maximum (5 pay)  Maximum 

(Other than 5 pay) 

ENTRY AGE 

Classic (Life) Option 

 0 years (30 days)1

56 years

65 years

65 years MATURITY AGE 

18 years 

85 years

85 years

ENTRY AGE 

Classic (Extra Life) Option 

18 years 

53 years 

58 years 

MATURITY AGE 

28 years 

63 years 

68 years 

ENTRY AGE 

Classic Plus Option 

0 years (30 days)1

48 years 

50 years 

MATURITY AGE 

18 years 

58 years 

60 years 

ENTRY AGE 

Classic Waiver Option 

18 years 

49 years

52 years

MATURITY AGE 

28 years 

69 years

85 years

For non-annual modes the applicable maximum entry age and maturity age limit shall be less than 2 years of the corresponding age limits for annual mode as mentioned above 

  1. For all ages, risk commences from the date of inception of the contract

Customize your cover with these riders

Riders in insurance have an important part in contingency planning. A ULIP is incomplete without them.
  • icon

    HDFC Life Income Benefit on Accidental Disability Rider

    UIN: 101B013V03

    Get additional income benefits over and above your Sum Assured in the event of total permanent disability due to an accident.

    DOWNLOAD
  • icon

    HDFC Life Critical Illness Plus Rider

    UIN: 101B014V02

    We pay a lump sum amount equal to the Sum Assured upfront if diagnosed with of any of the specified critical illnesses

    DOWNLOAD
  • icon

    HDFC Life Protect Plus Rider

    UIN: 101B016V01

    Get protected with a proportion of Rider Sum Assured in case of accidental death or partial/total disability due to accident or diagnosed with Cancer

    DOWNLOAD
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