Mutual Funds
Motilal Oswal Balanced Advantage Fund-Reg(G)
Hybrid  |   Very High  |   Hybrid - Dynamic Asset Allocation
18.62   -0.02
NAV(₹) as on 7/7/2026
-0.08%
  1D
-5.46%
  1Y
3.58%
  3Y
4.33%
  5Y
Motilal Oswal Balanced Advantage Fund-Reg(G)
Growth Chart of the Scheme

Scheme Details
Expense Ratio:
2.39
Launch Date:
27 Sep 2016
Exit Load:
1% on or before 365D, Nil after 365D
AUM:
₹ 735.74 Crs
Lock-in:
Nil
Investing Style:
Large Growth
Portfolio Price To Book Value:
10.27
Min. Investment:
SIP : ₹ 500.00
Lumpsum : ₹ 500.00
Scheme Benchmark:
NA
Fund Manager:
Atul Mehra ,Sandeep Jain ,Ankit Agarwal

FUND OBJECTIVE

The investment objective is to generate long term capital appreciation by investing in equity and equity related instruments including equity derivatives & International Stocks, debt, money market instruments.However, there can be no assurance or guarantee that the investment objective of the Scheme would be achieved.

LATEST ASSET & PORTFOLIO ALLOCATION Debt Others Equity
as on 31/5/2026 16.70 % 17.24 % 66.05 %
TOP HOLDINGS

Net Current Asset
14.33 %

Shaily Engineering Plastics Ltd.
6.03 %

Eternal Ltd.
5.64 %

NTPC Ltd.
4.69 %

Bharti Airtel Ltd.
4.43 %

Coforge Ltd.
4.38 %

Kotak Mahindra Bank Ltd.
3.90 %

ICICI Prudential Asset Management Company Ltd.
3.83 %

Torrent Pharmaceuticals Ltd.
3.71 %

Apollo Hospitals Enterprise Ltd.
3.71 %

See All Holding
ALLOCATION BY MARKET CAP (Equity)
ALLOCATION BY RATING (Debt & Others)
ALLOCATION BY SECTOR

Bank - Private
10.93 %

Electric Equipment
6.08 %

Plastic Products
6.03 %

e-Commerce
5.64 %

Power Generation/Distributio
4.69 %

See All Sectors
PORTFOLIO CHARACTERISTICS (Debt)

Average Maturity

Modified Duration

Yield to Maturity

2.21 (in years)

1.87 (in years)

7.61 %

5 YEAR HISTORY

Financial Year 2021-22 2022-23 2023-24 2024-25 2025-26
NAV (31/3/2026) 14.98 14.58 19.34 17.92 16.77
Net Assets (Rs Crores) 96,158.56 62,673.90 1,23,560.39 91,789.21 70,180.59
Scheme Returns(%)(Absolute) 2.10 -3.65 31.77 -8.68 -5.85
B'mark Returns(%)(Absolute) NA NA NA NA NA
Category Rank 10/10 10/10 2/15 16/16 16/16
RISKOMETER
Level of Risk in the Scheme

Clients will understand that their principal will be at Very High risk.

PERFORMANCE COMPARISON WITH SIMILAR SCHEMES

Fund Details Inception Date Aum(₹ Crs) 1Y 3Y 5Y Since Inception
MDB Logo
UTI Balanced Advantage Fund-Reg(G)
Hybrid - Dynamic Asset Allocation  |   Very High |  12.57   +0.02  
10/8/2023 ₹ 3,021.97 -1.56% - - 8.17%
MDB Logo
Samco Dynamic Asset Allocation Fund-Reg(G)
Hybrid - Dynamic Asset Allocation  |   Very High |  10.29   +-0.02  
28/12/2023 ₹ 198.56 -1.72% - - 1.14%
MDB Logo
Parag Parikh Dynamic Asset Allocation Fund-Reg(G)
Hybrid - Dynamic Asset Allocation  |   Moderately High |  11.80   +0.00  
27/2/2024 ₹ 2,691.13 4.12% - - 7.27%
MDB Logo
Helios Balanced Advantage Fund-Reg(G)
Hybrid - Dynamic Asset Allocation  |   Very High |  11.59   +-0.03  
27/3/2024 ₹ 301.85 2.57% - - 6.69%
MDB Logo
Unifi Dynamic Asset Allocation Fund-Reg(G)
Hybrid - Dynamic Asset Allocation  |   Moderate |  11.03   +0.00  
13/3/2025 ₹ 1,242.98 7.43% - - 7.75%
MDB Logo
Motilal Oswal Balanced Advantage Fund-Reg(G)
Hybrid - Dynamic Asset Allocation  |   Very High |  18.62   +-0.02  
27/9/2016 ₹ 735.74 -5.46% 3.58% 4.33% 6.56%
MDB Logo
Shriram Balanced Advantage Fund-Reg(G)
Hybrid - Dynamic Asset Allocation  |   Very High |  16.65   +0.04  
5/7/2019 ₹ 50.07 -2.45% 5.69% 6.02% 7.54%
MDB Logo
PGIM India Balanced Advantage Fund-Reg(G)
Hybrid - Dynamic Asset Allocation  |   Very High |  15.16   +0.06  
4/2/2021 ₹ 797.63 -2.57% 6.35% 7.01% 7.98%
MDB Logo
UTI ULIP(G)
Hybrid - Dynamic Asset Allocation  |   High |  42.64   +0.10  
1/1/1972 ₹ 5,027.38 0.86% 7.76% 6.80% 10.53%
MDB Logo
UTI ULIP 10Y
Hybrid - Dynamic Asset Allocation  |   High |  42.64   +0.10  
1/1/1972 ₹ 5,027.38 0.86% 7.76% 6.80% 2.68%