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SBI Retirement Benefit Fund - Conservative Hybrid Plan - Direct Plan - Growth

  • Regular
  • Direct
Category : Retirement Fund
Fund House : SBI Mutual Fund
  • NAV
    : ₹ 16.1187 0.25%
    (as on 11th November, 2025)
Crisil Rating

Not Rated

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

The fund has 39.19% investment in domestic equities of which 19.02% is in Large Cap stocks, 7.06% is in Mid Cap stocks, 4.54% in Small Cap stocks.The fund has 52.61% investment in Debt, of which 34.94% in Government securities, 17.67% is in Low Risk securities.

This Scheme
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  • CRISIL Hybrid 65+35 - Conservative Index
  • 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 10007.30 0.07% - 0.06% 16/28
1 Month 10-Oct-25 10004.20 0.04% - 0.87% 27/29
3 Month 11-Aug-25 10193.30 1.93% - 3.30% 22/29
6 Month 09-May-25 10351.80 3.52% - 7.24% 24/29
YTD 01-Jan-25 10476.80 4.77% - 5.99% 22/29
1 Year 11-Nov-24 10407.20 4.07% 4.07% 6.23% 24/29
2 Year 10-Nov-23 12081.10 20.81% 9.89% 14.72% 23/27
3 Year 11-Nov-22 13372.50 33.73% 10.16% 13.95% 19/26
Since Inception 10-Feb-21 16118.70 61.19% 10.56% 12.88% 18/29

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 12404.36 3.37 % 6.28 %
2 Year 10-Nov-23 24000 25715.84 7.15 % 6.77 %
3 Year 11-Nov-22 36000 41122.16 14.23 % 8.81 %
 

Tax Treatment

Please check with your Tax Advisor.

Portfolio (Updated on 31st Oct,2025)

Equity Holding : 39.19% | F&O Holdings : 0.00%| Foreign Equity Holdings : 0.00%| Total : 39.19%
No of Stocks : 52 (Category Avg - 53.62) | Large Cap Investments : 19.02%| Mid Cap Investments : 7.06% | Small Cap Investments : 4.54% | Other : 8.57%

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
# HDFC Bank Ltd. Private sector bank 100.6 3.50% 0.00% 3.73% (Jul 2025) 3.19% (Jan 2025) 1.02 L -3.00 k
# Reliance Industries Ltd. Refineries & marketing 69.9 2.43% 0.00% 2.46% (Jun 2025) 2.1% (Dec 2024) 47.00 k 0.00
# ICICI Bank Ltd. Private sector bank 66.6 2.31% 0.00% 2.69% (Jul 2025) 2.36% (Jan 2025) 49.50 k -2.10 k
# Maruti Suzuki India Ltd. Passenger cars & utility vehicles 51.5 1.79% 0.00% 1.8% (Sep 2025) 1.35% (Dec 2024) 3.18 k 0.00
# Larsen & Toubro Ltd. Civil construction 47.3 1.64% 0.00% 1.64% (Dec 2024) 1.5% (Apr 2025) 11.75 k -0.80 k
# Infosys Ltd. Computers - software & consulting 46.3 1.61% 0.00% 2.25% (Jan 2025) 1.59% (Sep 2025) 31.25 k 0.00
# State Bank Of India Public sector bank 41.2 1.43% 0.00% 1.36% (Sep 2025) 1.15% (Feb 2025) 44.00 k 0.00
# Urban Company Ltd. E-retail/ e-commerce 34.2 1.19% 0.00% 1.28% (Sep 2025) 0% (Oct 2024) 2.23 L 0.00
# Ultratech Cement Ltd. Cement & cement products 34.1 1.18% 0.00% 1.28% (Aug 2025) 1.03% (Jan 2025) 2.85 k 0.00
# Axis Bank Ltd. Private sector bank 30.3 1.05% 0.00% 1.17% (Apr 2025) 0.96% (Sep 2025) 24.60 k 0.00
- indicates change in weight in the portfolio. # indicates a new entry.
No of Debt Holding 13 (Category Avg - 8.45) | Modified Duration 6.56 Years (Category Avg - 5.49)| Yield to Maturity 7.12% (Category Avg - 6.70%)

Type of Holdings

Security Type
% Weight
Category Average
GOI 34.94% 23.22%
T-Bills 0.00% 0.00%
NCD & Bonds 17.67% 8.72%
PTC 0.00% 0.32%

Investment / Portfolio Grades

Security Type
% Weight
Category Average
Government Backed 34.94% 23.23%
Low Risk 17.67% 9.04%
Moderate Risk 0.00% 0.00%
High Risk 0.00% 0.00%
Very High Risk 0.00% 0.00%
Others 0.00% 0.00%
Name Type of Instrument Weight (%)
TREPS TREPS 6.42%
Net Receivables Net Receivables 1.78%

Risk Ratios

Ratios calculated on daily returns for last 3 years (Updated as on 31st October, 2025)

  • Standard Deviation

    Low volatility
    4.78vs7.77
    Category Avg
  • Beta

    Low volatility
    0.91vs0.99
    Category Avg
  • Sharpe Ratio

    Poor risk adjusted returns
    0.77vs0.81
    Category Avg
  • Treynor's Ratio

    Poor risk adjusted returns
    0.04vs0.07
    Category Avg
  • Jensen's Alpha

    Poor risk adjusted returns
    -0.59vs0.48
    Category Avg

More Funds from SBI Mutual Fund

Out of 109 mutual fund schemes offered by this AMC, 1 is/are ranked 5 * , 6 is/are ranked 4 * , 8 is/are ranked 3 * , 6 is/are ranked 2 * , 7 is/are ranked 1 * , and 81 schemes are not ranked. See more about AMC

Scheme Name
Crisil Rank
Asset Size (Cr)
1M
3M
6M
1Y
3Y
SBI Equity Hybrid Fund - Direct Plan - Growth 4 79008.05 0.86 4.03 8.02 13.59 14.76
SBI Liquid Fund - Direct Plan - Growth 3 56928.87 0.48 1.44 3.02 6.67 7.03
SBI Large Cap Fund - Direct Plan - Growth 3 52829.93 1.50 4.31 8.02 6.39 14.45
SBI Contra Fund - Direct Plan - Growth 3 47205.42 1.87 4.64 7.70 3.34 20.68
SBI Arbitrage Opportunities Fund - Direct Plan - Growth 4 39858.59 0.57 1.42 3.18 7.01 7.80
SBI Focused Fund - Direct Plan - Growth 4 38916.82 3.56 7.74 12.67 12.85 17.61
SBI Balanced Advantage Fund - Direct Plan - Growth NA 37457.25 2.14 4.58 6.95 8.38 14.88
SBI Small Cap Fund - Direct Plan - Growth 2 36945.09 0.68 1.70 8.95 -2.35 15.41
SBI Savings Fund - Direct Plan - Growth 1 36565.60 0.51 1.50 3.50 7.66 7.64
SBI Large & Midcap Fund - Direct Plan - Growth 3 35514.42 2.23 4.78 11.48 7.70 17.84

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