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In this policy, the investment risk in investment portfolio is borne by the policyholder. The linked insurance products do not offer any liquidity during the first five years of the contract. The policyholder will not be able to surrender or withdraw the monies invested in linked insurance products completely or partially till the end of the fifth year.
The higher you reach, the taller your family stands
Loyalty Additions
Reducing Allocation1 Charges
9 Fund Options
A Unit Linked Non-Participating Individual Life Insurance Savings Plan for your financial protection needs
Choose from 9 funds to optimize your investment returns
Customize your premium payment options – Single, Limited or Regular
Choose from 4 convenient Benefit options to customize your payouts
Get Loyalty Additions3 of up to 1.8% of the average fund value after 10th policy year onwards
Reduced premium allocation charge on investing higher premium amount1
Avail Tax Benefit as per Income Tax Act, 19612
Choose from 9 funds to optimize your investment returns
Customize your premium payment options – Single, Limited or Regular
Choose from 4 convenient Benefit options to customize your payouts
Get Loyalty Additions3 of up to 1.8% of the average fund value after 10th policy year onwards
Reduced premium allocation charge on investing higher premium amount1
Avail Tax Benefit as per Income Tax Act, 19612
List of Funds available with this product
ULIF05301/08/13EquityPlus101
NAV
30.054
2025-02-27
52 wk High
2024-09-26
35.1652
52 wk Low
2024-03-19
29.0552
vs
Nifty 50
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
30.054
2025-02-27
52 wk High
2024-09-26
35.1652
52 wk Low
2024-03-19
29.0552
vs
Nifty 50
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
30.054
2025-02-27
52 wk High
2024-09-26
35.1652
52 wk Low
2024-03-19
29.0552
vs
Nifty 50
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
30.054
2025-02-27
52 wk High
2024-09-26
35.1652
52 wk Low
2024-03-19
29.0552
vs
Nifty 50
Note: returns over 1 year have been annualized
+0.20%
-0.20%
ULIF05501/08/13DivrEqtyFd101
NAV
37.3039
2025-02-27
52 wk High
2024-09-26
43.7491
52 wk Low
2024-03-20
35.3503
vs
BSE100
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
37.3039
2025-02-27
52 wk High
2024-09-26
43.7491
52 wk Low
2024-03-20
35.3503
vs
BSE100
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
37.3039
2025-02-27
52 wk High
2024-09-26
43.7491
52 wk Low
2024-03-20
35.3503
vs
BSE100
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
37.3039
2025-02-27
52 wk High
2024-09-26
43.7491
52 wk Low
2024-03-20
35.3503
vs
BSE100
Note: returns over 1 year have been annualized
+0.20%
-0.20%
ULIF03501/01/10BlueChipFd101
NAV
45.9042
2025-02-27
52 wk High
2024-09-26
54.174
52 wk Low
2024-03-19
43.9972
vs
BSE100
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
45.9042
2025-02-27
52 wk High
2024-09-26
54.174
52 wk Low
2024-03-19
43.9972
vs
BSE100
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
45.9042
2025-02-27
52 wk High
2024-09-26
54.174
52 wk Low
2024-03-19
43.9972
vs
BSE100
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
45.9042
2025-02-27
52 wk High
2024-09-26
54.174
52 wk Low
2024-03-19
43.9972
vs
BSE100
Note: returns over 1 year have been annualized
+0.20%
-0.20%
ULIF03601/01/10OpprtntyFd101
NAV
66.3721
2025-02-27
52 wk High
2024-09-24
80.8129
52 wk Low
2024-03-13
62.4289
vs
Nifty Mid Cap 100
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
66.3721
2025-02-27
52 wk High
2024-09-24
80.8129
52 wk Low
2024-03-13
62.4289
vs
Nifty Mid Cap 100
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
66.3721
2025-02-27
52 wk High
2024-09-24
80.8129
52 wk Low
2024-03-13
62.4289
vs
Nifty Mid Cap 100
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
66.3721
2025-02-27
52 wk High
2024-09-24
80.8129
52 wk Low
2024-03-13
62.4289
vs
Nifty Mid Cap 100
Note: returns over 1 year have been annualized
+0.20%
-0.20%
ULIF06618/01/18DiscvryFnd101
NAV
35.212
2025-02-27
52 wk High
2024-09-24
42.0781
52 wk Low
2024-03-13
31.9896
vs
Nifty Mid Cap 100
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
35.212
2025-02-27
52 wk High
2024-09-24
42.0781
52 wk Low
2024-03-13
31.9896
vs
Nifty Mid Cap 100
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
35.212
2025-02-27
52 wk High
2024-09-24
42.0781
52 wk Low
2024-03-13
31.9896
vs
Nifty Mid Cap 100
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
35.212
2025-02-27
52 wk High
2024-09-24
42.0781
52 wk Low
2024-03-13
31.9896
vs
Nifty Mid Cap 100
Note: returns over 1 year have been annualized
+0.20%
-0.20%
ULIF06723/03/18EqtyAdvtFd101
NAV
24.9065
2025-02-27
52 wk High
2024-09-26
29.7599
52 wk Low
2024-03-19
23.7125
vs
BSE200
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
24.9065
2025-02-27
52 wk High
2024-09-26
29.7599
52 wk Low
2024-03-19
23.7125
vs
BSE200
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
24.9065
2025-02-27
52 wk High
2024-09-26
29.7599
52 wk Low
2024-03-19
23.7125
vs
BSE200
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
24.9065
2025-02-27
52 wk High
2024-09-26
29.7599
52 wk Low
2024-03-19
23.7125
vs
BSE200
Note: returns over 1 year have been annualized
+0.20%
-0.20%
ULIF07317/01/24MidCpMoIdx101
NAV
9.4667
2025-02-27
52 wk High
2024-09-24
12.4139
52 wk Low
2025-02-27
9.4667
vs
NIFTY MIDCAP150 MOMENTUM 50 (100%)
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
9.4667
2025-02-27
52 wk High
2024-09-24
12.4139
52 wk Low
2025-02-27
9.4667
vs
NIFTY MIDCAP150 MOMENTUM 50 (100%)
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
9.4667
2025-02-27
52 wk High
2024-09-24
12.4139
52 wk Low
2025-02-27
9.4667
vs
NIFTY MIDCAP150 MOMENTUM 50 (100%)
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
9.4667
2025-02-27
52 wk High
2024-09-24
12.4139
52 wk Low
2025-02-27
9.4667
vs
NIFTY MIDCAP150 MOMENTUM 50 (100%)
Note: returns over 1 year have been annualized
+0.20%
-0.20%
ULIF07114/07/23FlexiCapFd101
NAV
13.4654
2025-02-27
52 wk High
2024-09-26
15.9839
52 wk Low
2024-03-13
12.6414
vs
NSE Nifty 500 (100%)
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
13.4654
2025-02-27
52 wk High
2024-09-26
15.9839
52 wk Low
2024-03-13
12.6414
vs
NSE Nifty 500 (100%)
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
13.4654
2025-02-27
52 wk High
2024-09-26
15.9839
52 wk Low
2024-03-13
12.6414
vs
NSE Nifty 500 (100%)
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
13.4654
2025-02-27
52 wk High
2024-09-26
15.9839
52 wk Low
2024-03-13
12.6414
vs
NSE Nifty 500 (100%)
Note: returns over 1 year have been annualized
+0.20%
-0.20%
* Data as of 31st January 2025. Past Performance is not indicative of future performance of the fund.
NAV
29.4937
17.09.2020
52 week High
07.02.2020
52 week Low
23.03.2020
* Data as of 31st January 2025. Past Performance is not indicative of future performance of the fund.
* Data as of 31st January 2025. Past Performance is not indicative of future performance of the fund.
ULIF07616/10/24Top500MoFd101
NAV
7.8948
2025-02-27
52 wk High
2024-12-16
10.4758
52 wk Low
2025-02-27
7.8948
vs
Note: returns over 1 year have been annualized
+0.20%
-0.20%
ULIF05301/08/13EquityPlus101
NAV
30.054
2025-02-27
52 wk High
2024-09-26
35.1652
52 wk Low
2024-03-19
29.0552
vs
Note: returns over 1 year have been annualized
+0.20%
-0.20%
ULIF05501/08/13DivrEqtyFd101
NAV
37.3039
2025-02-27
52 wk High
2024-09-26
43.7491
52 wk Low
2024-03-20
35.3503
vs
Note: returns over 1 year have been annualized
+0.20%
-0.20%
ULIF03501/01/10BlueChipFd101
NAV
45.9042
2025-02-27
52 wk High
2024-09-26
54.174
52 wk Low
2024-03-19
43.9972
vs
Note: returns over 1 year have been annualized
+0.20%
-0.20%
ULIF03601/01/10OpprtntyFd101
NAV
66.3721
2025-02-27
52 wk High
2024-09-24
80.8129
52 wk Low
2024-03-13
62.4289
vs
Note: returns over 1 year have been annualized
+0.20%
-0.20%
ULIF06618/01/18DiscvryFnd101
NAV
35.212
2025-02-27
52 wk High
2024-09-24
42.0781
52 wk Low
2024-03-13
31.9896
vs
Note: returns over 1 year have been annualized
+0.20%
-0.20%
ULIF06723/03/18EqtyAdvtFd101
NAV
24.9065
2025-02-27
52 wk High
2024-09-26
29.7599
52 wk Low
2024-03-19
23.7125
vs
Note: returns over 1 year have been annualized
+0.20%
-0.20%
ULIF07317/01/24MidCpMoIdx101
NAV
9.4667
2025-02-27
52 wk High
2024-09-24
12.4139
52 wk Low
2025-02-27
9.4667
vs
Note: returns over 1 year have been annualized
+0.20%
-0.20%
ULIF07114/07/23FlexiCapFd101
NAV
13.4654
2025-02-27
52 wk High
2024-09-26
15.9839
52 wk Low
2024-03-13
12.6414
vs
Note: returns over 1 year have been annualized
+0.20%
-0.20%
* Data as of 31st January 2025. Past Performance is not indicative of future performance of the fund.
Get your latest portfolio value, analyses, insights, recommendations, and more!
ULIF03401/01/10IncomeFund101
NAV
28.3403
2025-02-27
52 wk High
2025-02-06
28.4142
52 wk Low
2024-02-29
26.4943
vs
CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
28.3403
2025-02-27
52 wk High
2025-02-06
28.4142
52 wk Low
2024-02-29
26.4943
vs
CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
28.3403
2025-02-27
52 wk High
2025-02-06
28.4142
52 wk Low
2024-02-29
26.4943
vs
CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
28.3403
2025-02-27
52 wk High
2025-02-06
28.4142
52 wk Low
2024-02-29
26.4943
vs
CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.20%
-0.20%
ULIF05601/08/13Bond Funds101
NAV
20.4478
2025-02-27
52 wk High
2025-02-06
20.4983
52 wk Low
2024-04-19
19.0547
vs
CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
20.4478
2025-02-27
52 wk High
2025-02-06
20.4983
52 wk Low
2024-04-19
19.0547
vs
CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
20.4478
2025-02-27
52 wk High
2025-02-06
20.4983
52 wk Low
2024-04-19
19.0547
vs
CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
20.4478
2025-02-27
52 wk High
2025-02-06
20.4983
52 wk Low
2024-04-19
19.0547
vs
CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.20%
-0.20%
ULIF05801/08/13ConsertvFd101
NAV
19.3184
2025-02-27
52 wk High
2025-02-27
19.3184
52 wk Low
2024-02-29
18.0926
vs
CRISIL Short Term Bond Fund Index
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
19.3184
2025-02-27
52 wk High
2025-02-27
19.3184
52 wk Low
2024-02-29
18.0926
vs
CRISIL Short Term Bond Fund Index
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
19.3184
2025-02-27
52 wk High
2025-02-27
19.3184
52 wk Low
2024-02-29
18.0926
vs
CRISIL Short Term Bond Fund Index
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
19.3184
2025-02-27
52 wk High
2025-02-27
19.3184
52 wk Low
2024-02-29
18.0926
vs
CRISIL Short Term Bond Fund Index
Note: returns over 1 year have been annualized
+0.20%
-0.20%
* Data as of 31st January 2025. Past Performance is not indicative of future performance of the fund.
NAV
29.4937
17.09.2020
52 week High
07.02.2020
52 week Low
23.03.2020
* Data as of 31st January 2025. Past Performance is not indicative of future performance of the fund.
* Data as of 31st January 2025. Past Performance is not indicative of future performance of the fund.
ULIF03401/01/10IncomeFund101
NAV
28.3403
2025-02-27
52 wk High
2025-02-06
28.4142
52 wk Low
2024-02-29
26.4943
vs
Note: returns over 1 year have been annualized
+0.20%
-0.20%
ULIF05601/08/13Bond Funds101
NAV
20.4478
2025-02-27
52 wk High
2025-02-06
20.4983
52 wk Low
2024-04-19
19.0547
vs
Note: returns over 1 year have been annualized
+0.20%
-0.20%
* Data as of 31st January 2025. Past Performance is not indicative of future performance of the fund.
ULIF03901/09/10BalancedFd101
NAV
36.7536
2025-02-27
52 wk High
2024-09-26
40.3866
52 wk Low
2024-03-19
34.7562
vs
60% BSE100 40% CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
36.7536
2025-02-27
52 wk High
2024-09-26
40.3866
52 wk Low
2024-03-19
34.7562
vs
60% BSE100 40% CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
36.7536
2025-02-27
52 wk High
2024-09-26
40.3866
52 wk Low
2024-03-19
34.7562
vs
60% BSE100 40% CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.20%
-0.20%
NAV
36.7536
2025-02-27
52 wk High
2024-09-26
40.3866
52 wk Low
2024-03-19
34.7562
vs
60% BSE100 40% CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.20%
-0.20%
* Data as of 31st January 2025. Past Performance is not indicative of future performance of the fund.
NAV
29.4937
17.09.2020
52 week High
07.02.2020
52 week Low
23.03.2020
* Data as of 31st January 2025. Past Performance is not indicative of future performance of the fund.
* Data as of 31st January 2025. Past Performance is not indicative of future performance of the fund.
* Data as of 31st January 2025. Past Performance is not indicative of future performance of the fund.
Search results for “HDFC Life Sampoorn Nivesh”
ULIF03901/09/10BalancedFd101
NAV
36.7536
2025-02-27
52 wk High
2024-09-26
40.3866
52 wk Low
2024-03-19
34.7562
vs
60% BSE100 40% CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
36.7536
2025-02-27
52 wk High
2024-09-26
40.3866
52 wk Low
2024-03-19
34.7562
vs
60% BSE100 40% CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
36.7536
2025-02-27
52 wk High
2024-09-26
40.3866
52 wk Low
2024-03-19
34.7562
vs
60% BSE100 40% CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
36.7536
2025-02-27
52 wk High
2024-09-26
40.3866
52 wk Low
2024-03-19
34.7562
vs
60% BSE100 40% CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
ULIF03401/01/10IncomeFund101
NAV
28.3403
2025-02-27
52 wk High
2025-02-06
28.4142
52 wk Low
2024-02-29
26.4943
vs
CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
28.3403
2025-02-27
52 wk High
2025-02-06
28.4142
52 wk Low
2024-02-29
26.4943
vs
CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
28.3403
2025-02-27
52 wk High
2025-02-06
28.4142
52 wk Low
2024-02-29
26.4943
vs
CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
28.3403
2025-02-27
52 wk High
2025-02-06
28.4142
52 wk Low
2024-02-29
26.4943
vs
CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
ULIF05601/08/13Bond Funds101
NAV
20.4478
2025-02-27
52 wk High
2025-02-06
20.4983
52 wk Low
2024-04-19
19.0547
vs
CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
20.4478
2025-02-27
52 wk High
2025-02-06
20.4983
52 wk Low
2024-04-19
19.0547
vs
CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
20.4478
2025-02-27
52 wk High
2025-02-06
20.4983
52 wk Low
2024-04-19
19.0547
vs
CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
20.4478
2025-02-27
52 wk High
2025-02-06
20.4983
52 wk Low
2024-04-19
19.0547
vs
CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
ULIF05801/08/13ConsertvFd101
NAV
19.3184
2025-02-27
52 wk High
2025-02-27
19.3184
52 wk Low
2024-02-29
18.0926
vs
CRISIL Short Term Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
19.3184
2025-02-27
52 wk High
2025-02-27
19.3184
52 wk Low
2024-02-29
18.0926
vs
CRISIL Short Term Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
19.3184
2025-02-27
52 wk High
2025-02-27
19.3184
52 wk Low
2024-02-29
18.0926
vs
CRISIL Short Term Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
19.3184
2025-02-27
52 wk High
2025-02-27
19.3184
52 wk Low
2024-02-29
18.0926
vs
CRISIL Short Term Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
ULIF05301/08/13EquityPlus101
NAV
30.054
2025-02-27
52 wk High
2024-09-26
35.1652
52 wk Low
2024-03-19
29.0552
vs
Nifty 50
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
30.054
2025-02-27
52 wk High
2024-09-26
35.1652
52 wk Low
2024-03-19
29.0552
vs
Nifty 50
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
30.054
2025-02-27
52 wk High
2024-09-26
35.1652
52 wk Low
2024-03-19
29.0552
vs
Nifty 50
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
30.054
2025-02-27
52 wk High
2024-09-26
35.1652
52 wk Low
2024-03-19
29.0552
vs
Nifty 50
Note: returns over 1 year have been annualized
+0.10%
-0.20%
ULIF05501/08/13DivrEqtyFd101
NAV
37.3039
2025-02-27
52 wk High
2024-09-26
43.7491
52 wk Low
2024-03-20
35.3503
vs
BSE100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
37.3039
2025-02-27
52 wk High
2024-09-26
43.7491
52 wk Low
2024-03-20
35.3503
vs
BSE100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
37.3039
2025-02-27
52 wk High
2024-09-26
43.7491
52 wk Low
2024-03-20
35.3503
vs
BSE100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
37.3039
2025-02-27
52 wk High
2024-09-26
43.7491
52 wk Low
2024-03-20
35.3503
vs
BSE100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
ULIF03501/01/10BlueChipFd101
NAV
45.9042
2025-02-27
52 wk High
2024-09-26
54.174
52 wk Low
2024-03-19
43.9972
vs
BSE100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
45.9042
2025-02-27
52 wk High
2024-09-26
54.174
52 wk Low
2024-03-19
43.9972
vs
BSE100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
45.9042
2025-02-27
52 wk High
2024-09-26
54.174
52 wk Low
2024-03-19
43.9972
vs
BSE100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
45.9042
2025-02-27
52 wk High
2024-09-26
54.174
52 wk Low
2024-03-19
43.9972
vs
BSE100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
ULIF03601/01/10OpprtntyFd101
NAV
66.3721
2025-02-27
52 wk High
2024-09-24
80.8129
52 wk Low
2024-03-13
62.4289
vs
Nifty Mid Cap 100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
66.3721
2025-02-27
52 wk High
2024-09-24
80.8129
52 wk Low
2024-03-13
62.4289
vs
Nifty Mid Cap 100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
66.3721
2025-02-27
52 wk High
2024-09-24
80.8129
52 wk Low
2024-03-13
62.4289
vs
Nifty Mid Cap 100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
66.3721
2025-02-27
52 wk High
2024-09-24
80.8129
52 wk Low
2024-03-13
62.4289
vs
Nifty Mid Cap 100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
ULIF06618/01/18DiscvryFnd101
NAV
35.212
2025-02-27
52 wk High
2024-09-24
42.0781
52 wk Low
2024-03-13
31.9896
vs
Nifty Mid Cap 100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
35.212
2025-02-27
52 wk High
2024-09-24
42.0781
52 wk Low
2024-03-13
31.9896
vs
Nifty Mid Cap 100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
35.212
2025-02-27
52 wk High
2024-09-24
42.0781
52 wk Low
2024-03-13
31.9896
vs
Nifty Mid Cap 100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
35.212
2025-02-27
52 wk High
2024-09-24
42.0781
52 wk Low
2024-03-13
31.9896
vs
Nifty Mid Cap 100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
ULIF06723/03/18EqtyAdvtFd101
NAV
24.9065
2025-02-27
52 wk High
2024-09-26
29.7599
52 wk Low
2024-03-19
23.7125
vs
BSE200
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
24.9065
2025-02-27
52 wk High
2024-09-26
29.7599
52 wk Low
2024-03-19
23.7125
vs
BSE200
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
24.9065
2025-02-27
52 wk High
2024-09-26
29.7599
52 wk Low
2024-03-19
23.7125
vs
BSE200
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
24.9065
2025-02-27
52 wk High
2024-09-26
29.7599
52 wk Low
2024-03-19
23.7125
vs
BSE200
Note: returns over 1 year have been annualized
+0.10%
-0.20%
ULIF07317/01/24MidCpMoIdx101
NAV
9.4667
2025-02-27
52 wk High
2024-09-24
12.4139
52 wk Low
2025-02-27
9.4667
vs
NIFTY MIDCAP150 MOMENTUM 50 (100%)
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
9.4667
2025-02-27
52 wk High
2024-09-24
12.4139
52 wk Low
2025-02-27
9.4667
vs
NIFTY MIDCAP150 MOMENTUM 50 (100%)
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
9.4667
2025-02-27
52 wk High
2024-09-24
12.4139
52 wk Low
2025-02-27
9.4667
vs
NIFTY MIDCAP150 MOMENTUM 50 (100%)
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
9.4667
2025-02-27
52 wk High
2024-09-24
12.4139
52 wk Low
2025-02-27
9.4667
vs
NIFTY MIDCAP150 MOMENTUM 50 (100%)
Note: returns over 1 year have been annualized
+0.10%
-0.20%
ULIF07114/07/23FlexiCapFd101
NAV
13.4654
2025-02-27
52 wk High
2024-09-26
15.9839
52 wk Low
2024-03-13
12.6414
vs
NSE Nifty 500 (100%)
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
13.4654
2025-02-27
52 wk High
2024-09-26
15.9839
52 wk Low
2024-03-13
12.6414
vs
NSE Nifty 500 (100%)
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
13.4654
2025-02-27
52 wk High
2024-09-26
15.9839
52 wk Low
2024-03-13
12.6414
vs
NSE Nifty 500 (100%)
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
13.4654
2025-02-27
52 wk High
2024-09-26
15.9839
52 wk Low
2024-03-13
12.6414
vs
NSE Nifty 500 (100%)
Note: returns over 1 year have been annualized
+0.10%
-0.20%
ULIF05301/08/13EquityPlus101
NAV
30.054
2025-02-27
52 wk High
2024-09-26
35.1652
52 wk Low
2024-03-19
29.0552
vs
Nifty 50
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
30.054
2025-02-27
52 wk High
2024-09-26
35.1652
52 wk Low
2024-03-19
29.0552
vs
Nifty 50
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
30.054
2025-02-27
52 wk High
2024-09-26
35.1652
52 wk Low
2024-03-19
29.0552
vs
Nifty 50
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
30.054
2025-02-27
52 wk High
2024-09-26
35.1652
52 wk Low
2024-03-19
29.0552
vs
Nifty 50
Note: returns over 1 year have been annualized
+0.10%
-0.20%
ULIF05501/08/13DivrEqtyFd101
NAV
37.3039
2025-02-27
52 wk High
2024-09-26
43.7491
52 wk Low
2024-03-20
35.3503
vs
BSE100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
37.3039
2025-02-27
52 wk High
2024-09-26
43.7491
52 wk Low
2024-03-20
35.3503
vs
BSE100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
37.3039
2025-02-27
52 wk High
2024-09-26
43.7491
52 wk Low
2024-03-20
35.3503
vs
BSE100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
37.3039
2025-02-27
52 wk High
2024-09-26
43.7491
52 wk Low
2024-03-20
35.3503
vs
BSE100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
ULIF03501/01/10BlueChipFd101
NAV
45.9042
2025-02-27
52 wk High
2024-09-26
54.174
52 wk Low
2024-03-19
43.9972
vs
BSE100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
45.9042
2025-02-27
52 wk High
2024-09-26
54.174
52 wk Low
2024-03-19
43.9972
vs
BSE100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
45.9042
2025-02-27
52 wk High
2024-09-26
54.174
52 wk Low
2024-03-19
43.9972
vs
BSE100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
45.9042
2025-02-27
52 wk High
2024-09-26
54.174
52 wk Low
2024-03-19
43.9972
vs
BSE100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
ULIF03601/01/10OpprtntyFd101
NAV
66.3721
2025-02-27
52 wk High
2024-09-24
80.8129
52 wk Low
2024-03-13
62.4289
vs
Nifty Mid Cap 100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
66.3721
2025-02-27
52 wk High
2024-09-24
80.8129
52 wk Low
2024-03-13
62.4289
vs
Nifty Mid Cap 100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
66.3721
2025-02-27
52 wk High
2024-09-24
80.8129
52 wk Low
2024-03-13
62.4289
vs
Nifty Mid Cap 100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
66.3721
2025-02-27
52 wk High
2024-09-24
80.8129
52 wk Low
2024-03-13
62.4289
vs
Nifty Mid Cap 100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
ULIF06618/01/18DiscvryFnd101
NAV
35.212
2025-02-27
52 wk High
2024-09-24
42.0781
52 wk Low
2024-03-13
31.9896
vs
Nifty Mid Cap 100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
35.212
2025-02-27
52 wk High
2024-09-24
42.0781
52 wk Low
2024-03-13
31.9896
vs
Nifty Mid Cap 100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
35.212
2025-02-27
52 wk High
2024-09-24
42.0781
52 wk Low
2024-03-13
31.9896
vs
Nifty Mid Cap 100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
35.212
2025-02-27
52 wk High
2024-09-24
42.0781
52 wk Low
2024-03-13
31.9896
vs
Nifty Mid Cap 100
Note: returns over 1 year have been annualized
+0.10%
-0.20%
ULIF06723/03/18EqtyAdvtFd101
NAV
24.9065
2025-02-27
52 wk High
2024-09-26
29.7599
52 wk Low
2024-03-19
23.7125
vs
BSE200
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
24.9065
2025-02-27
52 wk High
2024-09-26
29.7599
52 wk Low
2024-03-19
23.7125
vs
BSE200
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
24.9065
2025-02-27
52 wk High
2024-09-26
29.7599
52 wk Low
2024-03-19
23.7125
vs
BSE200
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
24.9065
2025-02-27
52 wk High
2024-09-26
29.7599
52 wk Low
2024-03-19
23.7125
vs
BSE200
Note: returns over 1 year have been annualized
+0.10%
-0.20%
ULIF07317/01/24MidCpMoIdx101
NAV
9.4667
2025-02-27
52 wk High
2024-09-24
12.4139
52 wk Low
2025-02-27
9.4667
vs
NIFTY MIDCAP150 MOMENTUM 50 (100%)
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
9.4667
2025-02-27
52 wk High
2024-09-24
12.4139
52 wk Low
2025-02-27
9.4667
vs
NIFTY MIDCAP150 MOMENTUM 50 (100%)
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
9.4667
2025-02-27
52 wk High
2024-09-24
12.4139
52 wk Low
2025-02-27
9.4667
vs
NIFTY MIDCAP150 MOMENTUM 50 (100%)
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
9.4667
2025-02-27
52 wk High
2024-09-24
12.4139
52 wk Low
2025-02-27
9.4667
vs
NIFTY MIDCAP150 MOMENTUM 50 (100%)
Note: returns over 1 year have been annualized
+0.10%
-0.20%
ULIF07114/07/23FlexiCapFd101
NAV
13.4654
2025-02-27
52 wk High
2024-09-26
15.9839
52 wk Low
2024-03-13
12.6414
vs
NSE Nifty 500 (100%)
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
13.4654
2025-02-27
52 wk High
2024-09-26
15.9839
52 wk Low
2024-03-13
12.6414
vs
NSE Nifty 500 (100%)
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
13.4654
2025-02-27
52 wk High
2024-09-26
15.9839
52 wk Low
2024-03-13
12.6414
vs
NSE Nifty 500 (100%)
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
13.4654
2025-02-27
52 wk High
2024-09-26
15.9839
52 wk Low
2024-03-13
12.6414
vs
NSE Nifty 500 (100%)
Note: returns over 1 year have been annualized
+0.10%
-0.20%
ULIF03401/01/10IncomeFund101
NAV
28.3403
2025-02-27
52 wk High
2025-02-06
28.4142
52 wk Low
2024-02-29
26.4943
vs
CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
28.3403
2025-02-27
52 wk High
2025-02-06
28.4142
52 wk Low
2024-02-29
26.4943
vs
CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
28.3403
2025-02-27
52 wk High
2025-02-06
28.4142
52 wk Low
2024-02-29
26.4943
vs
CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
28.3403
2025-02-27
52 wk High
2025-02-06
28.4142
52 wk Low
2024-02-29
26.4943
vs
CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
ULIF05601/08/13Bond Funds101
NAV
20.4478
2025-02-27
52 wk High
2025-02-06
20.4983
52 wk Low
2024-04-19
19.0547
vs
CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
20.4478
2025-02-27
52 wk High
2025-02-06
20.4983
52 wk Low
2024-04-19
19.0547
vs
CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
20.4478
2025-02-27
52 wk High
2025-02-06
20.4983
52 wk Low
2024-04-19
19.0547
vs
CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
20.4478
2025-02-27
52 wk High
2025-02-06
20.4983
52 wk Low
2024-04-19
19.0547
vs
CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
ULIF05801/08/13ConsertvFd101
NAV
19.3184
2025-02-27
52 wk High
2025-02-27
19.3184
52 wk Low
2024-02-29
18.0926
vs
CRISIL Short Term Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
19.3184
2025-02-27
52 wk High
2025-02-27
19.3184
52 wk Low
2024-02-29
18.0926
vs
CRISIL Short Term Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
19.3184
2025-02-27
52 wk High
2025-02-27
19.3184
52 wk Low
2024-02-29
18.0926
vs
CRISIL Short Term Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
19.3184
2025-02-27
52 wk High
2025-02-27
19.3184
52 wk Low
2024-02-29
18.0926
vs
CRISIL Short Term Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
ULIF03901/09/10BalancedFd101
NAV
36.7536
2025-02-27
52 wk High
2024-09-26
40.3866
52 wk Low
2024-03-19
34.7562
vs
60% BSE100 40% CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
36.7536
2025-02-27
52 wk High
2024-09-26
40.3866
52 wk Low
2024-03-19
34.7562
vs
60% BSE100 40% CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
36.7536
2025-02-27
52 wk High
2024-09-26
40.3866
52 wk Low
2024-03-19
34.7562
vs
60% BSE100 40% CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
NAV
36.7536
2025-02-27
52 wk High
2024-09-26
40.3866
52 wk Low
2024-03-19
34.7562
vs
60% BSE100 40% CRISIL Composite Bond Fund Index
Note: returns over 1 year have been annualized
+0.10%
-0.20%
17.09.2020
* Data as of 31st January 2025. Past Performance is not indicative of future performance of the fund.
NAV
29.4937
17.09.2020
52 week High
07.02.2020
52 week Low
23.03.2020
* Data as of 31st January 2025. Past Performance is not indicative of future performance of the fund.
Multiple ways to pay premiums online using Net Banking, Credit Card, Debit Card,
UPI, wallets, Bill Pay along with various offline and auto payment options
HDFC MONEY BACK PAIN (UIN:101N002V01) | |
---|---|
2007-08 | 2.25% |
2009-10 | 2.25% |
2010-11 | 2.25% |
2011-12 | 2.25% |
2012-13 | 2.25% |
Product Name | Policy Term | Maturity TB Rates F.Y 2019 | Maturity TB Rates F.Y 2020 | 2.Surrender/Death TB Rates F.Y 2019 % | Surrender/Death TB Rates F.Y 2020 |
HDFC Money Back (UIN :101N002V01) | |||||
10 | 2.25% | 2.25% | 2.25% | ||
11 | NA | 2.25% | 2.25% | ||
11 | NA | 2.25% | 2.25% |
(Complete death and maturity benefits)
You can also take your fund value at maturity in periodical instalments.
Disclaimer:
For complete details, please read the Product brochure
In case of the Life Assured's unfortunate demise, we will pay the higher of the following:
The policy will terminate thereafter and no more benefits will be payable.
Disclaimer:
Loyalty Additions: Enhance your Fund Value through Guaranteed Loyalty Additions from 10th policy year1.
Reduced Allocation Charges: Optimize your investments through Reduced Premium Allocation Charge by investing higher premium2.
Get 4 Fund Switches, Premium Redirection and Partial Withdrawal each absolutely free in a policy year.
This plan can be availed by filling short medical questionnaire, which may not require you to go for medicals.
Tax Benefit: Avail Tax Benefit as per Income Tax Act, 1961. Tax benefits are subject to changes in tax laws.
Disclaimer:
For complete details, please read the Product brochure
This service is available between 9 AM - 9 PM IST
Interested in buying insurance plans, then fill the form below to help us call you back. This form is only for exploring insurance plans provided by HDFC Life, for Customer Service queries, please click - Customer Service Queries
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(Extra benefits on accidental death)
You can also take your fund value at maturity in periodical instalments.
Disclaimer:
For complete details, please read the Product brochure
In case of the Life Assured's unfortunate demise, we will pay the higher of the following:
In case of death due to accident2 during the term of the policy, an Additional Benefit equal to Sum Assured is payable in addition to the Death Benefit payable.
The policy will terminate thereafter and no more benefits will be payable.
Disclaimer:
Loyalty Additions: Enhance your Fund Value through Guaranteed Loyalty Additions from 10th policy year1.
Reduced Allocation Charges: Optimize your investments through Reduced Premium Allocation Charge by investing higher premium2.
Get 4 Fund Switches, Premium Redirection and Partial Withdrawal each absolutely free in a policy yea.r
This plan can be availed by filling short medical questionnaire, which may not require you to go for medicals.
Tax Benefit: Avail Tax Benefit as per Income Tax Act, 1961. Tax benefits are subject to changes in tax laws.
Disclaimer:
For complete details, please read the Product brochure
This service is available between 9 AM - 9 PM IST
Interested in buying insurance plans, then fill the form below to help us call you back. This form is only for exploring insurance plans provided by HDFC Life, for Customer Service queries, please click - Customer Service Queries
Thanks for contacting us.
We will get in touch soon.
Your call is scheduled for , between . You will receive a call from 8291890XXXX. Kindly attend the call. We respect your privacy. We do not spam.
Your call is rescheduled for , between . You will receive a call from 8291890XXXX. Kindly attend the call. We respect your privacy. We do not spam.
Your call is already scheduled for , between . Incase you want to reschedule the call; you can do it using the form above.
We're sorry, but you have reached the maximum number of rescheduling attempts allowed.
(Make partial withdrawals from policy)
You can also take your fund value at maturity in periodical instalments.
Disclaimer:
For complete details, please read the Product brochure
In case of the Life Assured's unfortunate demise, we will pay the higher of the following:
The policy will terminate thereafter and no more benefits will be payable.
Disclaimer:
For complete details, please read the Product brochure
Loyalty Additions: Enhance your Fund Value through Guaranteed Loyalty Additions from 10th policy year1.
Reduced Allocation Charges: Optimize your investments through Reduced Premium Allocation Charge by investing higher premium2.
Get 4 Fund Switches, Premium Redirection and Partial Withdrawal each absolutely free in a policy year.
This plan can be availed by filling short medical questionnaire, which may not require you to go for medicals.
Tax Benefit: Avail Tax Benefit as per Income Tax Act, 1961. Tax benefits are subject to changes in tax laws.
Disclaimer:
For complete details, please read the Product brochure
This service is available between 9 AM - 9 PM IST
Interested in buying insurance plans, then fill the form below to help us call you back. This form is only for exploring insurance plans provided by HDFC Life, for Customer Service queries, please click - Customer Service Queries
Thanks for contacting us.
We will get in touch soon.
Your call is scheduled for , between . You will receive a call from 8291890XXXX. Kindly attend the call. We respect your privacy. We do not spam.
Your call is rescheduled for , between . You will receive a call from 8291890XXXX. Kindly attend the call. We respect your privacy. We do not spam.
Your call is already scheduled for , between . Incase you want to reschedule the call; you can do it using the form above.
We're sorry, but you have reached the maximum number of rescheduling attempts allowed.
(Extra benefits and premium waiver)
You can also take your fund value at maturity in periodical instalments.
Disclaimer:
For complete details, please read the Product brochure
In case of the Life Assured's unfortunate demise, we will pay the higher of the following:
In addition, on each future premium due date(s), an amount equal to the modal premium shall be credited to the Policyholder's Fund Value after deduction of applicable charges.
Disclaimer:
For complete details, please read the Product brochure
Loyalty Additions: Enhance your Fund Value through Guaranteed Loyalty Additions from 10th policy year1.
Reduced Allocation Charges: Optimize your investments through Reduced Premium Allocation Charge by investing higher premium2.
Get 4 Fund Switches, Premium Redirection and Partial Withdrawal each absolutely free in a policy year.
This plan can be availed by filling short medical questionnaire, which may not require you to go for medicals.
Tax Benefit: Avail Tax Benefit as per Income Tax Act, 1961. Tax benefits are subject to changes in tax laws.
Disclaimer:
For complete details, please read the Product brochure
This service is available between 9 AM - 9 PM IST
Interested in buying insurance plans, then fill the form below to help us call you back. This form is only for exploring insurance plans provided by HDFC Life, for Customer Service queries, please click - Customer Service Queries
Thanks for contacting us.
We will get in touch soon.
Your call is scheduled for , between . You will receive a call from 8291890XXXX. Kindly attend the call. We respect your privacy. We do not spam.
Your call is rescheduled for , between . You will receive a call from 8291890XXXX. Kindly attend the call. We respect your privacy. We do not spam.
Your call is already scheduled for , between . Incase you want to reschedule the call; you can do it using the form above.
We're sorry, but you have reached the maximum number of rescheduling attempts allowed.
You can also take your fund value at maturity in periodical instalments.
Disclaimer:
For complete details, please read the Product brochure
In case of the Life Assured's unfortunate demise, we will pay the higher of the following:
In addition, on each future premium due date(s), an amount equal to the modal premium shall be credited to the Policyholder's Fund Value after deduction of applicable charges.
Monthly Income Benefit: An Income Benefit equal to a percentage of the Sum Assured will also be paid on each monthly policy anniversary following the date of death till the end of the Policy Term or the chosen Income Term, whichever comes earlier, subject to a minimum of 24 monthly payments. Both, Income percentage and Income Term will have to be chosen at inception.
Disclaimer:
For complete details, please read the Product brochure
Loyalty Additions: Enhance your Fund Value through Guaranteed Loyalty Additions from 10th policy year1.
Reduced Allocation Charges: Optimize your investments through Reduced Premium Allocation Charge by investing higher premium2.
Get 4 Fund Switches, Premium Redirection and Partial Withdrawal each absolutely free in a policy year.
This plan can be availed by filling short medical questionnaire, which may not require you to go for medicals.
Tax Benefit: Avail Tax Benefit as per Income Tax Act, 1961. Tax benefits are subject to changes in tax laws.
Disclaimer:
For complete details, please read the Product brochure
This service is available between 9 AM - 9 PM IST
Interested in buying insurance plans, then fill the form below to help us call you back. This form is only for exploring insurance plans provided by HDFC Life, for Customer Service queries, please click - Customer Service Queries
Thanks for contacting us.
We will get in touch soon.
Your call is scheduled for , between . You will receive a call from 8291890XXXX. Kindly attend the call. We respect your privacy. We do not spam.
Your call is rescheduled for , between . You will receive a call from 8291890XXXX. Kindly attend the call. We respect your privacy. We do not spam.
Your call is already scheduled for , between . Incase you want to reschedule the call; you can do it using the form above.
We're sorry, but you have reached the maximum number of rescheduling attempts allowed.
Before buying HDFC Life Sampoorn Nivesh Plus
Eligibility Criteria | Plan Options | Minimum | Maximum (5 pay) | Maximum (Other than 5 pay) |
---|---|---|---|---|
ENTRY AGE |
Classic (Life) Option |
0 years (30 days)1 |
56 years |
65 years |
MATURITY AGE |
18 years |
85 years |
85 years |
|
ENTRY AGE |
Classic (Extra Life) Option |
18 years |
53 years |
58 years |
MATURITY AGE |
28 years |
63 years |
68 years |
|
ENTRY AGE |
Classic Plus Option |
0 years (30 days)1 |
48 years |
50 years |
MATURITY AGE |
18 years |
58 years |
60 years |
|
ENTRY AGE |
Classic Waiver Option |
18 years |
49 years |
52 years |
MATURITY AGE |
28 years |
69 years |
85 years |
|
ENTRY AGE |
Classic Waiver plus Option |
18 years |
50 years |
50 years |
MATURITY AGE |
28 years |
80 years |
80 years |
UIN: 101A038V01
A Linked, Non-Participating Pure Risk Premium, Individual Life rider where you can get additional income benefits over and above your Sum Assured in the event of total permanent disability due to an accident.
DOWNLOADUIN: 101A037V01
A Linked, Non-Participating Pure Risk Premium, Individual Life/Health rider where you can get protected with a proportion of Rider Sum Assured in case of accidental death or partial/total disability due to accident or diagnosed with Cancer.
DOWNLOADUIN: 101A034V01
Get lump sum benefit equivalent to Rider Sum Assured on diagnosis of any of the covered 60 Critical Illnesses or benefit as a proportionate of the Rider Sum Assured on diagnosis of Early Stage Cancer / Major Cancer depending on the plan option chosen.
DOWNLOADUIN: 101A035V01
Get Waiver of Premium for the base policy premium and premiums of any other additional riders, in case of death, disability or diagnosis of any listed critical illnesses of the Rider Life Assured. Enjoy continued policy benefits even in case of life's eventualities.
DOWNLOADTalk to an
Advisor right away
We help you to choose best insurance plan based on your needs
This service is available between 9 AM - 9 PM IST
Interested in buying insurance plans, then fill the form below to help us call you back. This form is only for exploring insurance plans provided by HDFC Life, for Customer Service queries, please click - Customer Service Queries
Thanks for contacting us.
We will get in touch soon.
Your call is scheduled for , between . You will receive a call from 8291890XXXX. Kindly attend the call. We respect your privacy. We do not spam.
Your call is rescheduled for , between . You will receive a call from 8291890XXXX. Kindly attend the call. We respect your privacy. We do not spam.
Your call is already scheduled for , between . Incase you want to reschedule the call; you can do it using the form above.
We're sorry, but you have reached the maximum number of rescheduling attempts allowed.
This service is available between 9 AM - 9 PM IST
Interested in buying insurance plans, then fill the form below to help us call you back. This form is only for exploring insurance plans provided by HDFC Life, for Customer Service queries, please click - Customer Service Queries
Thanks for contacting us.
We will get in touch soon.
Your call is scheduled for , between . You will receive a call from 8291890XXXX. Kindly attend the call. We respect your privacy. We do not spam.
Your call is rescheduled for , between . You will receive a call from 8291890XXXX. Kindly attend the call. We respect your privacy. We do not spam.
Your call is already scheduled for , between . Incase you want to reschedule the call; you can do it using the form above.
We're sorry, but you have reached the maximum number of rescheduling attempts allowed.
Your Required life cover to protect your family’s future is
This service is available between 9 AM - 9 PM IST
Interested in buying insurance plans, then fill the form below to help us call you back. This form is only for exploring insurance plans provided by HDFC Life, for Customer Service queries, please click - Customer Service Queries
Thanks for contacting us.
We will get in touch soon.
Your call is scheduled for , between . You will receive a call from 8291890XXXX. Kindly attend the call. We respect your privacy. We do not spam.
Your call is rescheduled for , between . You will receive a call from 8291890XXXX. Kindly attend the call. We respect your privacy. We do not spam.
Your call is already scheduled for , between . Incase you want to reschedule the call; you can do it using the form above.
We're sorry, but you have reached the maximum number of rescheduling attempts allowed.
This service is available between 9 AM - 9 PM IST
Interested in buying insurance plans, then fill the form below to help us call you back. This form is only for exploring insurance plans provided by HDFC Life, for Customer Service queries, please click - Customer Service Queries
Thanks for contacting us.
We will get in touch soon.
Your call is scheduled for , between . You will receive a call from 8291890XXXX. Kindly attend the call. We respect your privacy. We do not spam.
Your call is rescheduled for , between . You will receive a call from 8291890XXXX. Kindly attend the call. We respect your privacy. We do not spam.
Your call is already scheduled for , between . Incase you want to reschedule the call; you can do it using the form above.
We're sorry, but you have reached the maximum number of rescheduling attempts allowed.
We’ll tell you everything you need to know about HDFC Life Sampoorn Nivesh Plus
HDFC Life Sampoorn Nivesh Plus is a Unit Linked Non-Participating Individual Life Insurance Plan that comes with Four plan options - Classic Benefit (Life Option), Classic Benefit (Extra Life Option), Classic Plus Benefit, Classic Waiver Benefit, Classic Waiver Plus Benefit.
1. Equity Plus Fund
2. Diversified Equity Fund
3. Blue Chip Fund
4. Balanced Fund
5. Bond Fund
6. Discovery Fund
7. Equity Advantage Fund
8. Opportunities Fund
9. Flexi Cap Fund
The charges under this plan include Premium Allocation Charge, Policy Administration Charge, Fund Management Charge, Mortality Charge, Switching Charge, Partial Withdrawal Charge, Surrender or Discontinuance Charge, Miscellaneous Charge and Return of Mortality Charge (ROMC)
HDFC Life Sampoorn Nivesh Plus gives you option of 9 different Funds to invest your money. Each fund has its own Investment policy, based on asset allocation between equity, debt and money market instruments. You can invest in a combination of funds by allocating your fund between different fund options. Also, you can switch between funds using fund switch option at any time without any charge.
The Policyholder has the option to take the Maturity benefit in periodical installments over a period, which may extend to 5 years, first installment payable on the maturity date.
On survival of the Life Assured till the end of the Policy Term (maturity) under all options, the Life Assured will receive the Fund Value as a Lump Sum benefit.
Fund Value will be calculated by multiplying balance Units in your fund(s) by the then prevailing Unit Price(s).
You can withdraw money from your Funds to meet any future financial emergencies. Lump Sum partial withdrawals can be made from your funds after 5 complete policy years, provided the Life Assured is at least 18 years of age.
Yes, you can Surrender your policy subject to lock in period of 5 years. Once you surrender your policy, your risk cover will cease and surrender benefit will be paid out depending upon the year in which the policy is surrendered. Please refer to product brochure for more details.
No policy loans are available for this product.
Premium(s) paid by an individual or HUF under this plan are eligible for tax benefits2 under Act, subject to the conditions/ limits specified therein. Under Section 10 (10D) of the Income Tax Act, 1961, the benefits received from this policy are exempt from tax, subject to the conditions specified therein.
The Unit Linked Insurance products do not offer any liquidity during the first five years of the contract. The policyholders will not be able to surrender/withdraw the monies invested in Unit Linked Insurance Products completely or partially till the end of fifth year.
HDFC Life Sampoorn Nivesh Plus ( UIN No : 101L180V01 )is A Unit Linked Non-Participating Individual Life Insurance Savings Plan. HDFC Life Income Benefit on Accidental Disability Rider – Linked (UIN: 101A038V01) is a Linked, Non-Participating Pure Risk Premium, Individual Life Rider. HDFC Life Protect Plus Rider – Linked (UIN: 101A037V01) is a Linked, Non-Participating Pure Risk Premium, Individual Life/Health Rider. HDFC Life Health Plus Rider – Linked (UIN: 101A034V01) is a Linked, Non-Participating Savings/Pure Risk Premium, Individual Health Rider. HDFC Life Waiver of Premium Rider – Linked (UIN: 101A035V01) - A Linked, Non-Participating, Individual Pure Risk Premium, Life / Health Rider. Unit Linked Life Insurance products are different from the traditional insurance products and are subject to the risk factors. The premium paid in Unit Linked Life Insurance policies are subject to investment risks associated with capital markets and the NAVs of the units may go up or down based on the performance of fund and factors influencing the capital market and the insured is responsible for his/her decisions. HDFC Life Insurance Company Limited is only the name of the Insurance Company, HDFC Life is only the name of the brand and HDFC Life Sampoorn Nivesh Plus (UIN No : 101L180V01 ) is only the name of the unit linked life insurance contract. The name of the company, name of the brand and name of the contract does not in any way indicate the quality of the contract, its future prospects or returns. Please know the associated risks and the applicable charges, from your Insurance agent or the Intermediary or policy document of the insurer. The various funds offered under this contract are the names of the funds and do not in any way indicate the quality of these plans, their future prospects and returns.
Life insurance coverage is available in this product.
For more details on risk factors, associated terms and conditions and exclusions please read sales brochure carefully.
T&C
ARN - PP/02/25/21661