NPS SCHEMES AS ON 21st JUNE 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 Management Ltd. 09-May-17           714.25     27.0601 31.47% 17.32% 17.30% 14.98% NA 15.00%
Axis Pension Fund Management Limited 21-Oct-22        1,434.66     13.9790 32.22% NA NA NA NA 22.23%
HDFC Pension Management Co. Ltd. 01-Aug-13      41,696.41     50.8061 32.77% 17.74% 17.77% 15.50% 14.15% 16.09%
ICICI Pru. Pension Fund Mgmt Co. Ltd. 18-May-09      14,656.67     69.6747 36.87% 19.21% 18.33% 15.66% 13.98% 13.71%
Kotak Mahindra Pension Fund Ltd. 15-May-09        2,376.61     63.6110 35.07% 18.96% 18.14% 15.23% 13.95% 13.02%
LIC Pension Fund Ltd. 23-Jul-13        5,715.20     43.0029 32.64% 18.28% 17.25% 14.54% 13.07% 14.29%
Max Life Pension Fund Management Limited 12-Sep-22           274.13     13.8762 34.10% NA NA NA NA 20.26%
SBI Pension Funds Pvt. Ltd 15-May-09      18,442.07     55.4167 31.35% 17.31% 16.57% 14.41% 13.25% 12.00%
Tata Pension Management Pvt. Ltd. 19-Aug-22           865.48     15.1473 40.20% NA NA NA NA 25.30%
UTI Pension Fund Ltd. 21-May-09        2,394.79     68.7741 37.79% 19.31% 18.24% 15.63% 14.30% 13.62%
DSP Pension Fund Managers Private Limited 26-Dec-23           133.89     11.4377 NA NA NA NA NA 14.38%
Benchmark Return as on 21.06.2024       35.44% 18.59% 18.29% 15.97% 14.22%  

 

 

 

 

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 Management Ltd. 09-May-17 345.45     17.6673 7.60% 6.04% 7.76% 8.21% NA 8.32%
Axis Pension Fund Management Limited 21-Oct-22 838.45     11.2965 7.30% NA NA NA NA 7.58%
HDFC Pension Management Co. Ltd. 01-Aug-13 16041.86     26.2472 7.89% 6.22% 7.99% 7.77% 8.99% 9.26%
ICICI Pru. Pension Fund Mgmt Co. Ltd. 18-May-09 6428.37     39.6147 7.65% 5.95% 7.51% 7.51% 8.90% 9.54%
Kotak Mahindra Pension Fund Ltd. 15-May-09 902.02     38.0187 7.67% 5.90% 6.93% 6.87% 8.41% 9.24%
LIC Pension Fund Ltd. 23-Jul-13 2968.63     25.5988 7.23% 5.76% 7.58% 7.34% 8.67% 8.99%
Max Life Pension Fund Management Limited 12-Sep-22 163.85     11.2896 6.93% NA NA NA NA 7.07%
SBI Pension Funds Pvt. Ltd 15-May-09 8891.53     39.7280 7.54% 5.86% 7.62% 7.47% 8.73% 9.56%
Tata Pension Management Pvt. Ltd. 19-Aug-22 369.89     11.2995 7.46% NA NA NA NA 6.86%
UTI Pension Fund Ltd. 21-May-09 953.27     35.1572 7.39% 5.73% 7.28% 7.11% 8.44% 8.69%
DSP Pension Fund Managers Private Limited 26-Dec-23 71.10     10.3830 NA NA NA NA NA 3.83%
Benchmark Return as on 21.06.2024       7.31% 5.95% 8.05% 7.73% 8.99%  

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-17 638.95     17.3518 8.91% 6.72% 7.51% 7.40% NA 8.04%
Axis Pension Fund Management Limited 21-Oct-22 1174.84     11.5811 8.90% NA NA NA NA 9.20%
HDFC Pension Management Co. Ltd. 01-Aug-13 26770.33     25.8718 9.10% 6.43% 7.52% 7.55% 9.15% 9.12%
ICICI Pru. Pension Fund Mgmt Co. Ltd. 18-May-09 10555.69     34.5215 8.88% 6.34% 7.24% 7.40% 9.07% 8.55%
Kotak Mahindra Pension Fund Ltd. 15-May-09 1589.45     34.6099 9.23% 6.64% 7.44% 7.45% 9.16% 8.56%
LIC Pension Fund Ltd. 23-Jul-13 5653.76     27.9003 8.87% 6.43% 7.44% 7.91% 9.63% 9.85%
Max Life Pension Fund Management Limited 12-Sep-22 368.92     11.7195 8.74% NA NA NA NA 9.35%
SBI Pension Funds Pvt. Ltd 15-May-09 18431.60     37.3821 9.06% 6.44% 7.38% 7.50% 9.19% 9.12%
Tata Pension Management Pvt. Ltd. 19-Aug-22 538.24     11.6899 8.76% NA NA NA NA 8.85%
UTI Pension Fund Ltd. 21-May-09 1776.42     33.4340 9.21% 6.64% 7.36% 7.25% 8.86% 8.32%
DSP Pension Fund Managers Private Limited 26-Dec-23 108.64     10.7011 NA NA NA NA NA 7.01%
Benchmark Return as on 21.06.2024       8.84% 6.32% 7.01% 6.95% 8.66%  

 

 

 

 

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 4.17     15.5348 9.61% 7.12% 6.07% 6.40% NA 6.39%
Axis Pension Fund Management Limited 21-Oct-22 1.65     11.1204 6.79% NA NA NA NA 6.57%
HDFC Pension Management Co. Ltd. 10-Oct-16 260.39     18.6734 10.80% 8.60% 8.43% 8.66% NA 8.45%
ICICI Pru. Pension Fund Mgmt Co. Ltd. 21-Nov-16 57.52     16.6096 10.00% 6.68% 6.52% 6.94% NA 6.92%
Kotak Mahindra Pension Fund Ltd. 14-Oct-16 13.52     16.6800 12.15% 6.09% 6.67% 7.03% NA 6.88%
LIC Pension Fund Ltd. 13-Oct-16 19.81     17.4015 7.62% 6.70% 7.28% 7.63% NA 7.47%
Max Life Pension Fund Management Limited 12-Sep-22 0.27       9.6751 7.13% NA NA NA NA -1.84%
SBI Pension Funds Pvt. Ltd 13-Oct-16 84.37     19.0125 12.51% 7.08% 9.11% 8.93% NA 8.71%
Tata Pension Management Pvt. Ltd. 19-Aug-22 3.25     11.3838 8.07% NA NA NA NA 7.29%
UTI Pension Fund Ltd. 14-Oct-16 10.62     15.9119 7.54% 5.99% 5.79% 6.21% NA 6.23%
DSP Pension Fund Managers Private Limited 27-Dec-23 0.15     10.2995 NA NA NA NA NA 2.99%

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%

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