NPS SCHEMES AS ON 13TH DECEMBER  2024

SCHEME - E Tier-I Pension Fund Inception
Date
AUM
(Rs Crs)
NAV Returns
 1 Year
Returns
3 Years
Returns
5 Years
Returns
7 Years
Returns
10 Years
Returns
Inception
Aditya Birla Sun Life Pension Fund Management Limited 9 May 17  1,158.50  28.5500 23.39% 15.83% 17.49% 14.45% NA 14.80%
Axis Pension Fund Management Limited 21 Oct 22  2,759.19  14.7821 24.65% NA NA NA NA 19.96%
HDFC Pension Fund Management Ltd. 1 Aug 13  49,850.84  53.5796 24.32% 15.91% 18.11% 15.27% 13.64% 15.90%
ICICI Pru. Pension Fund Mgmt Co. Ltd. 18 May 09  18,430.62  73.3322 25.90% 17.22% 18.83% 15.48% 13.46% 13.64%
Kotak Mahindra Pension Fund Ltd. 15 May 09  2,714.15  67.1273 23.88% 17.04% 18.52% 14.75% 13.48% 12.99%
LIC Pension Fund Ltd. 23 Jul 13  6,199.54  44.9971 22.42% 16.06% 17.81% 14.13% 12.40% 14.10%
Max Life Pension Fund Management Limited 12 Sep 22  514.81  14.5298 24.78% NA NA NA NA 18.02%
SBI Pension Funds Pvt. Ltd 15 May 09  19,768.98  57.4881 20.87% 15.02% 16.88% 14.03% 12.59% 11.87%
Tata Pension Management Pvt. Ltd. 19 Aug 22  1,839.93  15.6909 24.89% NA NA NA NA 21.43%
UTI Pension Fund Ltd. 21 May 09  3,290.71  73.3326 29.80% 18.23% 19.00% 15.43% 13.82% 13.65%
DSP Pension Fund Managers Private Limited 26 Dec 23  474.37  12.7652 NA NA NA NA NA 27.65%
Benchmark Return as on 13.12.2024       24.47% 16.45% 18.76% 15.68% 13.71%  

 

 

 

 

SCHEME - C Tier-I Pension Fund Inception
Date
AUM
(Rs Crs)
NAV Returns
 1 Year
Returns
3 Years
Returns
5 Years
Returns
7 Years
Returns
10 Years
Returns
Inception
Aditya Birla Sun Life Pension Fund Management Limited 9 May 17 655.22  18.4931 10.01% 6.61% 7.78% 8.07% NA 8.42%
Axis Pension Fund Management Limited 21 Oct 22 1690.15  11.8406 9.77% NA NA NA NA 8.18%
HDFC Pension Fund Management Ltd. 1 Aug 13 20644.93  27.5657 10.35% 6.77% 8.00% 8.22% 8.73% 9.32%
ICICI Pru. Pension Fund Mgmt Co. Ltd. 18 May 09 8525.79  41.5215 9.96% 6.55% 7.57% 7.91% 8.62% 9.57%
Kotak Mahindra Pension Fund Ltd. 15 May 09 1095.52  39.8121 9.79% 6.39% 7.24% 7.35% 8.10% 9.27%
LIC Pension Fund Ltd. 23 Jul 13 3375.61  26.7667 9.54% 6.23% 7.59% 7.80% 8.40% 9.02%
Max Life Pension Fund Management Limited 12 Sep 22 328.52  11.8234 9.66% NA NA NA NA 7.71%
SBI Pension Funds Pvt. Ltd 15 May 09 10174.35  41.6825 10.07% 6.49% 7.60% 7.94% 8.43% 9.59%
Tata Pension Management Pvt. Ltd. 19 Aug 22 879.83  11.8470 10.30% NA NA NA NA 7.58%
UTI Pension Fund Ltd. 21 May 09 1302.01  36.8234 9.77% 6.36% 7.61% 7.56% 8.17% 8.73%
DSP Pension Fund Managers Private Limited 26 Dec 23 255.71  10.8802 NA NA NA NA NA 8.80%
Benchmark Return as on 13.12.2024       9.20% 6.42% 8.30% 8.16% 8.53%  

SCHEME - G Tier-I Pension Fund Inception
Date
AUM
(Rs Crs)
NAV Returns
 1 Year
Returns
3 Years
Returns
5 Years
Returns
7 Years
Returns
10 Years
Returns
Inception
Aditya Birla Sun Life Pension Fund Management Limited 9 May 17 1122.80  18.1461 11.77% 7.20% 8.03% 8.35% NA 8.15%
Axis Pension Fund Management Limited 21 Oct 22 2285.99  12.0957 11.67% NA NA NA NA 9.26%
HDFC Pension Fund Management Ltd. 1 Aug 13 33834.39  27.0848 12.08% 6.99% 8.08% 8.41% 8.42% 9.15%
ICICI Pru. Pension Fund Mgmt Co. Ltd. 18 May 09 13682.75  36.0903 11.69% 6.91% 7.86% 8.18% 8.33% 8.58%
Kotak Mahindra Pension Fund Ltd. 15 May 09 1942.88  36.0646 11.52% 6.93% 7.90% 8.25% 8.49% 8.57%
LIC Pension Fund Ltd. 23 Jul 13 6432.88  29.2170 11.94% 7.03% 8.06% 8.80% 8.93% 9.86%
Max Life Pension Fund Management Limited 12 Sep 22 662.66  12.2530 11.72% NA NA NA NA 9.43%
SBI Pension Funds Pvt. Ltd 15 May 09 20619.05  39.1284 12.00% 6.99% 7.88% 8.27% 8.43% 9.14%
Tata Pension Management Pvt. Ltd. 19 Aug 22 1244.75  12.2236 11.68% NA NA NA NA 9.04%
UTI Pension Fund Ltd. 21 May 09 2336.80  35.0096 12.07% 7.09% 7.75% 8.10% 8.19% 8.38%
DSP Pension Fund Managers Private Limited 26 Dec 23 387.66  11.1825 NA NA NA NA NA 11.83%
Benchmark Return as on 13.12.2024       12.21% 7.02% 7.52% 7.87% 8.04%  

 

 

 

 

SCHEME -A Tier-I Pension Fund Inception
Date
AUM
(Rs Crs)
NAV Returns
 1 Year
Returns
3 Years
Returns
5 Years
Returns
7 Years
Returns
10 Years
Returns
Inception
Aditya Birla Sun Life Pension Fund Management Limited 15 May 17 4.93  16.2503 10.99% 7.08% 6.43% 6.63% NA 6.61%
Axis Pension Fund Management Limited 21 Oct 22 2.32  11.5434 7.38% NA NA NA NA 6.91%
HDFC Pension Fund Management Ltd. 10 Oct 16 317.89  19.6522 11.74% 8.47% 8.40% 8.60% NA 8.61%
ICICI Pru. Pension Fund Mgmt Co. Ltd. 21 Nov 16 75.66  17.7929 14.46% 7.44% 6.70% 7.49% NA 7.41%
Kotak Mahindra Pension Fund Ltd. 14 Oct 16 15.74  17.6287 12.91% 6.94% 6.80% 7.49% NA 7.19%
LIC Pension Fund Ltd. 13 Oct 16 23.04  18.1442 10.18% 6.90% 7.18% 7.81% NA 7.56%
Max Life Pension Fund Management Limited 12 Sep 22 0.31  9.9966 7.25% NA NA NA NA -0.02%
SBI Pension Funds Pvt. Ltd 13 Oct 16 101.11  20.3061 13.70% 8.17% 9.61% 9.09% NA 9.05%
Tata Pension Management Pvt. Ltd. 19 Aug 22 6.11  12.0975 10.90% NA NA NA NA 8.55%
UTI Pension Fund Ltd. 14 Oct 16 14.27  17.0735 15.06% 7.16% 6.69% 6.82% NA 6.77%
DSP Pension Fund Managers Private Limited 27 Dec 23 0.57  10.6311 NA NA NA NA NA 6.31%

SCHEME - G Tier-I Pension Fund Inception Date AUM
(Rs Crs)
NAV Returns
 1 Year
Returns
3 Years
Returns
5 Years
Returns
7 Years
Returns
10 Years
Returns
Inception
Aditya Birla Sun Life Pension Management Ltd. 09-May-17 498.67     16.8315 10.33% 6.56% 8.56% NA NA 7.96%
Axis Pension Fund Management Limited 21-Oct-22 621.19     11.2439 9.66% NA NA NA NA 9.13%
HDFC Pension Management Co. Ltd. 01-Aug-13 22733.25     25.0786 10.20% 6.26% 8.55% 8.05% 9.45% 9.09%
ICICI Pru. Pension Fund Mgmt Co. Ltd. 18-May-09 8730.61     33.4752 10.00% 6.27% 8.33% 7.90% 9.46% 8.52%
Kotak Mahindra Pension Fund Ltd. 15-May-09 1382.28     33.5341 10.40% 6.46% 8.50% 8.01% 9.53% 8.53%
LIC Pension Fund Ltd. 23-Jul-13 5001.03     27.0546 9.96% 6.40% 8.71% 8.55% 10.06% 9.85%
Max Life Pension Fund Management Limited 12-Sep-22 241.73     11.3635 10.13% NA NA NA NA 9.22%
SBI Pension Funds Pvt. Ltd 15-May-09 16507.04     36.2158 10.24% 6.22% 8.35% 7.96% 9.53% 9.09%
Tata Pension Management Pvt. Ltd. 19-Aug-22 181.90     11.3375 10.10% NA NA NA NA 8.64%
UTI Retirement Solutions Ltd. 21-May-09 1629.55     32.3816 10.12% 6.27% 8.28% 7.71% 9.23% 8.28%
DSP Pension Fund Managers Private Limited 26-Dec-23 19.91     10.3375 NA NA NA NA NA 3.37%
Benchmark Return as on 23.02.2024       9.99% 6.18% 8.09% 7.41% 8.99%  

SCHEME -A Tier-I Pension Fund Inception
Date
AUM
(Rs Crs)
NAV Returns
 1 Year
Returns
3 Years
Returns
5 Years
Returns
7 Years
Returns
10 Years
Returns
Inception
Aditya Birla Sun Life Pension Management Ltd. 15-May-17 3.49     15.2166 9.13% 6.89% 6.14% NA NA 6.39%
Axis Pension Fund Management Limited 21-Oct-22 1.13     10.8896 6.93% NA NA NA NA 6.55%
HDFC Pension Management Co. Ltd. 10-Oct-16 223.77     18.3020 10.42% 8.52% 9.32% 8.68% NA 8.54%
ICICI Pru. Pension Fund Mgmt Co. Ltd. 21-Nov-16 46.85     16.1491 8.47% 6.20% 7.24% 6.83% NA 6.82%
Kotak Mahindra Pension Fund Ltd. 14-Oct-16 11.52     16.4311 11.70% 6.04% 8.07% 7.12% NA 6.98%
LIC Pension Fund Ltd. 13-Oct-16 17.43     17.0367 7.47% 6.48% 7.89% 7.62% NA 7.50%
Max Life Pension Fund Management Limited 12-Sep-22 0.14       9.4502 6.96% NA NA NA NA -3.83%
SBI Pension Funds Pvt. Ltd 13-Oct-16 73.42     18.5563 11.44% 7.14% 9.68% 8.88% NA 8.75%
Tata Pension Management Pvt. Ltd. 19-Aug-22 1.63     11.3020 9.76% NA NA NA NA 8.41%
UTI Retirement Solutions Ltd. 14-Oct-16 9.56     15.5895 7.20% 6.23% 5.86% 6.22% NA 6.21%
DSP Pension Fund Managers Private Limited 27-Dec-23 0.06     10.0883 NA NA NA NA NA 0.88%

Open Account Now