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HDFC Pharma and Healthcare Fund - Regular Plan - Growth

  • Regular
  • Direct
Category : Sectoral/Thematic
Fund House : HDFC Mutual Fund
  • NAV
    : ₹ 17.268 -0.68%
    (as on 11th November, 2025)
Crisil Rating

Not Rated

Rank not available for the fund
Risk-O-Meter
Very High Risk

The fund has 99.01% investment in domestic equities of which 29.39% is in Large Cap stocks, 19.78% is in Mid Cap stocks, 10.89% in Small Cap stocks.

Suitable For : Investors who have advanced knowledge of macro trends and prefer to take selective bets for higher returns compared to other Equity funds. At the same time, these investors should also be ready for possibility of moderate to high losses in their investments even though overall market is performing better.

This Scheme
VS
  • Benchmark
    BSE Healthcare TRI
  • NA
  • NA
  • Gold
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Returns (NAV as on 11th November, 2025)

Period Invested for ₹10000 Invested on Latest Value Absolute Returns Annualised Returns Category Avg Rank within Category
1 Week 04-Nov-25 9884.90 -1.15% - -0.35% 203/242
1 Month 10-Oct-25 10013.30 0.13% - 0.87% 165/238
3 Month 11-Aug-25 10141.50 1.42% - 4.39% 212/235
6 Month 09-May-25 11008.50 10.08% - 10.72% 113/224
YTD 01-Jan-25 10105.90 1.06% - 3.78% 127/212
1 Year 11-Nov-24 10663.90 6.64% 6.64% 3.70% 56/198
2 Year 10-Nov-23 16634.20 66.34% 28.88% 18.89% 5/152
Since Inception 04-Oct-23 17328.70 73.29% 29.82% 12.40% 3/217

SIP Returns (NAV as on 11th November, 2025)

Period Invested for ₹1000 SIP Started on Investments Latest Value Absolute Returns Annualised Returns
1 Year 11-Nov-24 12000 12704 5.87 % 10.99 %
2 Year 10-Nov-23 24000 28884.11 20.35 % 18.87 %
 

Tax Treatment

If sold after 1 year from purchase date, long term capital gain tax will be applicable. Current tax rate is 12.5%, if your total long term capital gain exceeds 1.25 lakh. Any cess/surcharge is not included. If sold before 1 year from purchase date, short term capital gain tax will be applicable. Current tax rate is 20%. Any cess/surcharge is not included in the 20%.

Portfolio (Updated on 30th Sep,2025)

Portfolio Turnover Ratio : 34.40%  |   Category average turnover ratio is 57.31%  
Fund manager updated portfolio less frequently than peers in last 1 year. (I.e. fund manager held stocks/bonds in the portfolio for longer duration than peers)
Equity Holding : 99.01% | F&O Holdings : 0.00%| Foreign Equity Holdings : 0.00%| Total : 99.01%
No of Stocks : 29 (Category Avg - 44.01) | Large Cap Investments : 29.39%| Mid Cap Investments : 19.78% | Small Cap Investments : 10.89% | Other : 38.95%

Top 10 Stocks in Portfolio

How to read this table?
Stock Invested in Sector Value(Mn) % of Total Holdings 1M Change 1Y Highest Holding 1Y Lowest Holding Quantity 1M Change in Qty
Sun Pharmaceutical Industries Ltd. Pharmaceuticals 1984.3 10.47% 0.08% 14.02% (Oct 2024) 10.39% (Aug 2025) 12.45 L 0.00
Divis Laboratories Ltd. Pharmaceuticals 1470.7 7.76% -0.54% 10.24% (May 2025) 7.18% (Dec 2024) 2.58 L 0.00
Glenmark Pharmaceuticals Ltd. Pharmaceuticals 1313.8 6.93% 0.15% 7.42% (Jul 2025) 2.92% (Oct 2024) 6.73 L 0.00
Lupin Ltd. Pharmaceuticals 1296.4 6.84% 0.11% 6.84% (Sep 2025) 5.35% (Jan 2025) 6.78 L 0.00
Alkem Laboratories Ltd. Pharmaceuticals 1125.8 5.94% 2.00% 5.94% (Sep 2025) 0% (Oct 2024) 2.08 L 65.85 k
Max Healthcare Institute Ltd. Hospital 882.8 4.66% 1.40% 4.95% (Jan 2025) 1.8% (Oct 2024) 7.92 L 2.53 L
Ipca Laboratories Ltd. Pharmaceuticals 853.3 4.50% -0.12% 4.62% (Aug 2025) 3.26% (Mar 2025) 6.37 L 0.00
Cipla Ltd. Pharmaceuticals 818.3 4.32% -2.24% 8.17% (Oct 2024) 4.32% (Sep 2025) 5.44 L -2.44 L
Torrent Pharmaceuticals Ltd. Pharmaceuticals 722.8 3.81% 0.07% 3.88% (Jul 2025) 2.26% (Oct 2024) 2.01 L 0.00
Krishna Institute of Medical Sciences Ltd. Hospital 689.4 3.64% -0.09% 4.04% (Mar 2025) 3.25% (Oct 2024) 9.85 L 0.00
- indicates change in weight in the portfolio. # indicates a new entry.
Name Type of Instrument Weight (%)
TREPS TREPS 1.05%
Net Receivables Net Receivables -0.06%

Risk Ratios

Ratios calculated on daily returns for last 3 years (Updated as on 01st January, 1970)

    No data available. Ratios are only available for the funds which are 3 years old.

Alternative Funds (Category Peers)

Scheme Name
Crisil Rank
Asset Size (Cr)
1M
3M
6M
1Y
3Y
Nippon India Taiwan Equity Fund - Regular Plan - Growth NA 421.51 1.11 15.32 52.87 38.81 36.97
Aditya Birla Sun Life International Equity Fund - Regular Plan - Growth NA 273.51 2.27 5.61 18.93 28.13 16.21
Quant BFSI Fund - Regular Plan - Growth NA 655.17 3.89 7.41 24.70 21.37 0.00
Franklin Asian Equity Fund - Growth NA 279.13 2.14 11.02 23.01 20.43 14.02
HDFC Transportation and Logistics Fund - Regular Plan - Growth NA 1651.55 0.44 11.91 27.87 20.31 0.00
Nippon India Japan Equity Fund - Growth NA 292.35 1.37 3.75 12.28 18.20 16.66
DSP Banking & Financial Services Fund - Regular Plan - Growth NA 1419.62 2.76 6.52 11.41 16.81 0.00
ITI Banking and Financial Services Fund - Regular Plan - Growth NA 333.18 3.92 7.19 11.30 16.36 13.17
SBI Banking & Financial Services Fund - Regular Plan - Growth NA 9273.44 2.55 5.43 13.20 16.06 19.05
UTI Transportation and Logistics Fund - Growth NA 3967.67 -0.53 10.87 21.18 14.46 23.71

More Funds from HDFC Mutual Fund

Out of 123 mutual fund schemes offered by this AMC, 4 is/are ranked 5 * , 9 is/are ranked 4 * , 16 is/are ranked 3 * , 5 is/are ranked 2 * , 1 is/are ranked 1 * , and 88 schemes are not ranked. See more about AMC

Scheme Name
Crisil Rank
Asset Size (Cr)
1M
3M
6M
1Y
3Y
HDFC Balanced Advantage Fund - Growth 4 103041.31 1.39 3.85 7.07 6.08 18.04
HDFC Flexi Cap Fund - Growth 5 91041.00 0.51 5.11 9.41 9.30 21.33
HDFC Mid Cap Fund - Growth 4 84854.73 2.37 5.93 14.65 8.53 25.77
HDFC Liquid Fund - Growth 3 56061.67 0.48 1.43 2.98 6.63 6.95
HDFC Large Cap Fund - Growth 3 39779.26 1.74 4.93 8.77 6.57 13.55
HDFC Large Cap Fund - Growth 3 39779.26 1.11 3.56 6.04 4.01 15.20
HDFC Money Market Fund - Growth 3 37139.08 0.49 1.45 3.40 7.51 7.48
HDFC Small Cap Fund - Growth 4 36827.67 0.30 2.63 17.21 2.45 22.14
HDFC Corporate Bond Fund - Growth 2 36133.95 0.55 1.55 3.22 7.85 7.88
HDFC Large and Mid Cap Fund - Regular - Growth 4 26949.33 1.16 4.98 11.30 5.82 20.01

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