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Motilal Oswal Balance Advantage Fund (G)
Motilal Oswal Balance Advantage Fund (IDCW-A)
Motilal Oswal Balance Advantage Fund (IDCW-Q)
Motilal Oswal Balance Advantage Fund (G)
Get detailed information of scheme on investment, NAV, Performance.
AUM (
Cr. )
744
Inception Date
27-09-2016
Category
Hybrid - Dynamic Asset Allocation
Key Parameters
Type
OPEN ENDED
Minimum Investment (
)
500
52 Week High / Low (
)
20.5599 (29-Oct-2025) / 16.7748 (31-Mar-2026)
Incremental Investment (
)
500
NAV (
)
19.12 (
-0.09) (
-0.46 %)
Benchmark
CRISIL Hybrid 50+50 - Moderate Index
Fund Manager
Sandeep Jain
Value of (
) 1,00,000 since inception
1,91,228
Entry Load
Nil
Exit Load
1% - If redeemed on or before 365 days from the date of allotment. Nil - If redeemed after 365 days from the date of allotment.
Expense Ratio (%)
2.85
Maturity Date
NA
Portfolio Indicators
Portfolio P/E
41.35 times
Portfolio P/B
7.59 times
Average Maturity
1.29 years
Yield To Maturity
7 %
Modified Duration
1.11 years
Turnover Ratio (%)
1.68
Risk Factors
Jenson's Alpha
-0.24
Standard Deviation
4.41
Beta
0.70
Sharpe
0.05
R-Squared
1.00
Treynor Factor
-0.04
NAV Movement
3M
6M
1Y
3Y
5Y
AUM Growth (
Cr.)
3M
6M
1Y
3Y
5Y
Performance
Scheme Name
YTD (%)
3 Months (%)
6 Months (%)
1 Year (%)
3 Years (%)
5 Years (%)
10 Years (%)
Since Inception
Motilal Oswal Balance Advantage Fund (G)
-0.47
3.17
12.77
-0.96
0.92
4.24
6.75
6.69
CRISIL Hybrid 50+50 - Moderate Index
-
Company Top 5 Holdings
[ As on 31 Aug 2026 ]
More
Company
Asset
Value(
in Cr.)
Holdings (%)
TREPS
Reverse Repo
0
8.83
Coforge Ltd
Equity
1,65,020
4.41
Net CA & Others
Net CA & Others
0
4.11
Shriram Finance Ltd
Equity
2,41,444
3.60
Eternal Ltd
Equity
7,90,121
3.49
Sector Top 5 Holdings
[ As on 31 Aug 2026 ]
More
Sector
Value(
in Cr.)
Holdings (%)
Banks
10,36,787
14.06
Finance
3,21,126
9.77
FMCG
7,88,492
7.73
E-Commerce/App based Aggregator
17,14,155
7.40
Capital Goods - Electrical Equipment
1,57,713
6.41
Annual Performance
Year
Return (%)
AUM (
in Cr.)
Scheme Return
Category Return
Benchmark Return
Sensex Return
YTD
-0.47
-3.80
-
-15.59
743.51
2025
-7.40
5.12
-
8.55
871.97
2024
8.54
12.05
-
8.12
1,113.82
2023
23.68
17.30
-
18.10
817.25
2022
-1.81
3.23
-
2.80
726.80
2021
7.31
13.09
-
21.69
1,080.22
2020
8.83
11.81
-
15.60
1,206.97
2019
10.66
6.73
-
13.79
1,285.37
2018
-0.60
1.40
-
6.67
1,701.44
2017
24.22
17.05
-
28.06
1,425.53
Quarterly Performance
Year
Return (%)
AUM (
in Cr.)
Scheme Return
Category Return
Benchmark Return
Sensex Return
Sep-2026
3.64
-1.85
-
-5.78
0
Jun-2026
8.91
6.18
-
4.57
732.54
Mar-2026
-12.69
-8.16
-
-15.54
701.81
Dec-2025
-0.31
2.60
-
5.23
871.97
Peer Comparison
Scheme Name
AUM (
Cr.)
1 Year (%)
3 Year (%)
5 Year (%)
Since Inception
Inception Date
Sharpe
Std.Dev.
Aditya Birla SL Balanced Advantage Fund
10,125.45
3.30
9.62
8.41
9.47
25-Apr-2000
0.71
2.50
Parag Parikh Dynamic Asset Allocation Fund
2,574.82
2.48
0
0
6.03
27-Feb-2024
0.33
1.09
Bandhan Balanced Advantage Fund
2,285.86
1.95
7.81
6.42
7.83
10-Oct-2014
0.49
2.37
Baroda BNP Paribas Balanced Advantage Fund
5,342.81
1.91
9.48
8.93
12.13
14-Nov-2018
0.62
3.32
Mirae Asset Balanced Advantage Fund
2,169.20
1.39
8.10
0
9.03
11-Aug-2022
0.53
2.32
Edelweiss Balanced Advantage
13,445.00
1.20
8.54
7.58
10.04
20-Aug-2009
0.58
2.63
ICICI Pru Balanced Advantage Fund
75,399.17
1.00
9.47
9.33
10.79
31-Dec-2006
0.85
2.19
DSP Dynamic Asset Allocation Fund
3,821.11
0.74
8.38
7.01
8.44
06-Feb-2014
0.71
1.87
UTI-Unit Linked Insurance Plan
5,107.67
0.14
6.52
5.00
10.15
01-Oct-1971
0.38
1.95
Nippon India Balanced Advantage Fund
9,917.51
-0.28
8.40
7.79
14.03
15-Nov-2004
0.62
2.43
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