Mutual Funds
Sundaram Balanced Advantage Fund(G)(Adjusted)
Hybrid  |   High  |   Hybrid - Dynamic Asset Allocation
33.38   +0.03
NAV(₹) as on 20/3/2026
0.08%
  1D
0.63%
  1Y
9.40%
  3Y
8.01%
  5Y
Sundaram Balanced Advantage Fund(G)(Adjusted)
Growth Chart of the Scheme

Scheme Details
Expense Ratio:
2.06
Launch Date:
16 Dec 2010
Exit Load:
AUM:
₹ 1,694.61 Crs
Lock-in:
Nil
Investing Style:
Large Growth
Portfolio Price To Book Value:
5.91
Min. Investment:
SIP : ₹ NA
Lumpsum : ₹ 100.00
Scheme Benchmark:
NIFTY 50 Hybrid Composite Debt 50:50 Index
Fund Manager:
S. Bharath ,Clyton Richard Fernandes ,Dwijendra Srivastava

FUND OBJECTIVE

The primary objective of the scheme is to seek to generate long term capital appreciation with relatively lower volatility through systematic allocation of funds into equity; and in debt /money market instruments for defensive purposes. The Scheme will decide on allocation of funds into equity assets based on equity market Price Earnings Ratio (PE Ratio) levels. When the markets become expensive in terms of ‘Price to Earnings’ Ratio; the Scheme will reduce its allocation to equitiesand move assets into cash future arbitrage/ equity derivatives, debt and/or money market instruments and vice versa.

LATEST ASSET & PORTFOLIO ALLOCATION Others Debt Equity
as on 28/2/2026 7.18 % 21.95 % 70.88 %
TOP HOLDINGS

ICICI Bank Ltd.
7.01 %

HDFC Bank Ltd.
5.82 %

Reliance Industries Ltd.
4.33 %

Bharti Airtel Ltd.
4.23 %

Tri-Party Repo (TREPS)
4.14 %

Kotak Mahindra Bank Ltd.
3.54 %

06.48% GOI 06-Oct-2035
3.44 %

Larsen & Toubro Ltd.
3.10 %

07.10% GOI - 08-Apr-2034
2.42 %

Mahindra & Mahindra Ltd.
2.20 %

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

Bank - Private
16.37 %

Refineries
5.29 %

IT - Software
4.85 %

Telecommunication - Service
4.23 %

Bank - Public
3.32 %

See All Sectors
PORTFOLIO CHARACTERISTICS (Debt)

Average Maturity

Modified Duration

Yield to Maturity

6.12 (in years)

3.92 (in years)

6.51 %

5 YEAR HISTORY

Financial Year 2021-22 2022-23 2023-24 2024-25 2025-26
NAV (19/3/2026) 25.28 25.85 31.45 33.47 33.35
Net Assets (Rs Crores) 1,62,973.41 1,53,043.30 1,52,576.79 1,49,088.70 1,69,460.55
Scheme Returns(%)(Absolute) 10.70 1.82 21.42 5.97 0.42
B'mark Returns(%)(Absolute) NA NA NA NA NA
Category Rank 5/10 1/10 8/15 8/16 11/16
RISKOMETER
Level of Risk in the Scheme

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

PERFORMANCE COMPARISON WITH SIMILAR SCHEMES

Fund Details Inception Date Aum(₹ Crs) 1Y 3Y 5Y Since Inception
MDB Logo
Quant Dynamic Asset Allocation Fund-Reg(G)
Hybrid - Dynamic Asset Allocation  |   High |  15.12   +-0.02  
12/4/2023 ₹ 953.03 -0.65% - - 15.11%
MDB Logo
UTI Balanced Advantage Fund-Reg(G)
Hybrid - Dynamic Asset Allocation  |   Very High |  12.02   +0.03  
10/8/2023 ₹ 3,141.63 0.82% - - 7.30%
MDB Logo
Samco Dynamic Asset Allocation Fund-Reg(G)
Hybrid - Dynamic Asset Allocation  |   Very High |  9.78   +-0.02  
28/12/2023 ₹ 220.59 -4.12% - - -0.99%
MDB Logo
Parag Parikh Dynamic Asset Allocation Fund-Reg(G)
Hybrid - Dynamic Asset Allocation  |   Moderately High |  11.49   +-0.07  
27/2/2024 ₹ 2,768.32 4.86% - - 6.97%
MDB Logo
Helios Balanced Advantage Fund-Reg(G)
Hybrid - Dynamic Asset Allocation  |   Very High |  10.81   +0.01  
27/3/2024 ₹ 316.13 2.66% - - 4.01%
MDB Logo
Unifi Dynamic Asset Allocation Fund-Reg(G)
Hybrid - Dynamic Asset Allocation  |   Moderate |  10.77   +0.00  
13/3/2025 ₹ 1,153.96 7.49% - - 7.54%
MDB Logo
Motilal Oswal Balanced Advantage Fund-Reg(G)
Hybrid - Dynamic Asset Allocation  |   Very High |  17.14   +0.10  
27/9/2016 ₹ 768.93 -3.51% 5.49% 3.22% 5.85%
MDB Logo
Shriram Balanced Advantage Fund-Reg(G)
Hybrid - Dynamic Asset Allocation  |   Very High |  15.96   +0.03  
5/7/2019 ₹ 54.78 -0.69% 7.14% 5.91% 7.22%
MDB Logo
UTI ULIP(G)
Hybrid - Dynamic Asset Allocation  |   High |  39.85   +0.03  
1/1/1972 ₹ 5,034.81 -0.03% 7.89% 6.44% 10.45%
MDB Logo
UTI ULIP 10Y
Hybrid - Dynamic Asset Allocation  |   High |  39.85   +0.03  
1/1/1972 ₹ 5,034.81 -0.03% 7.89% 6.44% 2.57%