The latest NAV of HDFC Infrastructure Fund – Regular Plan is ₹47.32 as of 2026-08-10.
The returns of HDFC Infrastructure Fund – Regular Plan are 1.19% for 1 year, 54.89% for 3 years and 150.02% for 5 years, as per the latest available data. Investors should compare these returns with the category average and benchmark before making a decision.
The investment objective of HDFC Infrastructure Fund – Regular Plan : The Investment Objective of the Scheme is to seek long-term capital appreciation by investing predominantly in equity and equity related securities of companies engaged in or expected to benefit from the growth and development of infrastructure.
HDFC Infrastructure Fund – Regular Plan has a Very High risk rating as per the fund’s riskometer. Investors should check whether this risk level matches their investment horizon, financial goals and ability to handle market volatility.
The AUM, or Assets Under Management, of HDFC Infrastructure Fund – Regular Plan is ₹2444.21 crore. AUM indicates the total money managed under the scheme. Higher AUM may reflect investor confidence, but fund performance, consistency and portfolio quality should also be reviewed.
The expense ratio of HDFC Infrastructure Fund – Regular Plan is 2.22. This is the annual fee charged by the fund house for managing the scheme. A lower expense ratio can help improve net returns over the long term, but it should not be the only factor used to judge a fund.
