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HDFC Gold Silver Passive FOF Reg Gr logo

HDFC Gold Silver Passive FOF Reg Gr

Sector - Precious MetalsHDFC Mutual Fund

NAV

₹9.99

+1.24% today

AUM

₹0.00

Fund size

Expense

0.00%

Regular plan

Min SIP

₹100

per month

Min Lumpsum

₹100

one-time

Exit Load

1.0

on redemption

Fund snapshot

Category rank--
Risk-o-meterVery High Risk
BenchmarkDomestic Price of Physical Gold TR INR (70%) + Domestic Price of Physical Silver (30%)
Number of holdings0
Inception01 Sept 2026
Exit load1.0

Risk metrics

Alpha0
Beta0
Sharpe ratio0
Standard deviation0.00%
Sortino ratio0

Capital gains tax

Equity

STCG · short-term

Slab Rate

Short-term gains taxed at slab rate

Applies when gold or silver fund units are sold within 24 months.

LTCG · long-term

12.5%

Long-term gains taxed at 12.5%

Applies when gold or silver fund units are sold after 24 months.

Gold and silver fund taxation depends on a 24-month holding period; short-term gains are taxed at slab rate and long-term gains at 12.5%.

Fund managers

BK

Since Sep 2026

AUM managed

₹44,895.63Cr

Tenure

Since Sep 2026

Funds

5

About HDFC Gold Silver Passive FOF Reg Gr

HDFC Gold Silver Passive FOF Reg Gr is an open-ended Sector - Precious Metals mutual fund scheme offered by HDFC Mutual Fund under the regular plan with the growth option. Its latest net asset value (NAV) is ₹9.99 per unit and the scheme manages ₹0.00 in assets under management. The fund charges an expense ratio of 0.00% and is benchmarked against Domestic Price of Physical Gold TR INR (70%) + Domestic Price of Physical Silver (30%). SEBI's riskometer places this scheme in the Very High Risk category, so read the scheme information document before investing.

Investment objective

The objective of this scheme is to generate returns by investing in units of Gold and Silver exchange traded funds (ETFs). There is no assurance that the investment objective of the Scheme will be achieved.

Regular Plan · Growth option · NAV as of 15 Sept 2026

HDFC Gold Silver Passive FOF Reg Gr returns

Trailing returns. Periods above one year are annualised (CAGR); one year and below are absolute.
PeriodFundCategory average
1 month0.00%-1.76%
3 months0.00%-4.08%
6 months0.00%-7.82%
1 year0.00%+51.58%
3 years0.00%+38.85%
5 years0.00%+24.73%

Rolling returns

Average return across every rolling window of this length over the fund's history.
PeriodFundCategory average
1 month0.00%+8.44%
3 months0.00%-4.71%
6 months0.00%-6.23%
1 year0.00%+69.87%
3 years0.00%+220.52%
5 years0.00%+299.98%

Past performance is not indicative of future returns. Mutual fund investments are subject to market risks; read all scheme related documents carefully.

HDFC Gold Silver Passive FOF Reg Gr — frequently asked questions

What is the NAV of HDFC Gold Silver Passive FOF Reg Gr?

The latest net asset value (NAV) of HDFC Gold Silver Passive FOF Reg Gr is ₹9.99 per unit, +1.24% over the previous trading day. NAV is declared by the AMC at the end of every business day.

What is the expense ratio of HDFC Gold Silver Passive FOF Reg Gr?

HDFC Gold Silver Passive FOF Reg Gr charges an expense ratio of 0.00% per annum. The expense ratio is deducted from the scheme's assets, so the NAV you see is already net of it.

How risky is HDFC Gold Silver Passive FOF Reg Gr?

SEBI's riskometer classifies HDFC Gold Silver Passive FOF Reg Gr as Very High Risk, which is typical for a Sector - Precious Metals scheme. Match the scheme's risk level to your own risk tolerance and investment horizon before investing.

What is the minimum investment in HDFC Gold Silver Passive FOF Reg Gr?

You can start a SIP in HDFC Gold Silver Passive FOF Reg Gr from ₹100 per month, and the minimum lumpsum investment is ₹100.

Who manages HDFC Gold Silver Passive FOF Reg Gr?

HDFC Gold Silver Passive FOF Reg Gr is managed by HDFC Mutual Fund, holds ₹0.00 in assets under management and invests across null holdings. This page covers the regular plan with the growth option.

Scheme identifiers

Scheme category
Equity
Scheme sub-category
Sector - Precious Metals
Plan
Regular plan
Option
Growth
ISIN
INF179KC1KN7
Scheme code
FS0000KTNV

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