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Aditya Birla Sun Life Balanced Advantage Fund Regular-Growth

Aditya Birla Sun Life Balanced Advantage Fund Regular-Growth

Large CapHybrid: Dynamic Asset Allocationबहुत अधिक जोखिम
PaisaSmartPaisaSmart रेटिंग★★★★★★★★★★2.5

The fund is rated 2.5 stars. Asset mix, investment selection within each industry, and balance between returns and downside risk provided some support. Above-average fund size of Rs 10,125.45 crore was a minor drawback.

यह रेटिंग क्यों

This fund has a ok track record with Asset Allocation, a ok track record with Stock Selection/Timing. It is important to note, however, that this fund has a 10125.448 AUM and a 1.95 expense ratio. Considering all these factors, we have rated this fund as 2.5 star.

हमारा स्कोर दीर्घकालिक प्रदर्शन, जोखिम और निरंतरता को तौलता है — केवल पिछले रिटर्न को नहीं।

रिटर्न

8 Oct 2026 तक

1W
-0.58%
1M
-4.05%
3M
-1.54%
6M
+1.84%
9M
-0.47%
1Y
+2.13%
2Y
+2.98%
3Y
+9.47%
4Y
+10.14%
5Y
+8.13%
7Y
+10.96%
10Y
+9.27%
15Y
+10.68%
20Y
+9.74%
लॉन्च से अब तक
+9.44%

जोखिम अनुपात

30 Sep 2026 तक

मानक विचलन
9.03
शार्प रेशियो
0.47
सॉर्टिनो रेशियो
0.63
बीटा
1.06
अल्फा
1.27
आर-स्क्वेयर्ड
0.96
ट्रेयनॉर रेशियो
8.49
इन्फॉर्मेशन रेशियो
-0.15
माध्य
9.90

डेट मेट्रिक्स

औसत परिपक्वता
3.82 वर्ष
ड्यूरेशन
2.52 वर्ष
मैकॉले ड्यूरेशन
2.68 वर्ष
यील्ड टू मैच्योरिटी
7.78%

पोर्टफोलियो

31 Aug 2026 तक

मार्केट-कैप विभाजन

लार्ज कैप53.24%मिड कैप27.64%स्मॉल कैप19.12%
P/E
25.83
P/B
3.66
स्टाइल
Growth

30 Sep 2026 तक

सेक्टर आवंटन

Financial16.21%
Services6.66%
Automobile6.33%
Technology6.10%
Consumer Staples4.28%
Healthcare4.16%
Metals & Mining3.80%
Energy3.24%

होल्डिंग्स (142)

होल्डिंगफंड का %मूल्यशेयर
ICICI Bank Ltd.4.08%₹412.86 Cr28,39,476
Kotak Mahindra Bank Ltd.2.89%₹292.85 Cr69,82,513
HDFC Bank Ltd.2.60%₹262.94 Cr37,08,552
IndiGrid Infrastructure Trust2.20%₹223.24 Cr1,27,13,026
Reliance Industries Ltd.2.09%₹212.06 Cr16,60,633
State Bank of India2.08%₹210.74 Cr19,88,137
Axis Bank Ltd.1.73%₹175.5 Cr13,50,000
Tech Mahindra Ltd.1.68%₹169.9 Cr10,43,641
Infosys Ltd.1.65%₹166.77 Cr14,70,922
GOIकूपन 7.18% · परिपक्वता 24/07/2037 · रेटिंग SOV1.55%₹157.17 Cr1,55,00,000

फंड विवरण

संक्षेप में

Capital appreciation and regular income in the long term, investment in equity & equity related securities as well as fixed income securities (Debt & Money Market securities).

निवेश उद्देश्य

The Scheme seeks to generate long term growth of capital and income distribution with relatively lower volatility by investing in a dynamically balanced portfolio of Equity & Equity linked investments and fixed-income securities.

एग्ज़िट लोड

Exit load of 0.25%, if redeemed within 7 days.

फंड प्रकार
Open-ended
न्यूनतम एकमुश्त
₹100
न्यूनतम निकासी
₹1
लॉक-इन
कोई नहीं
SIP
उपलब्ध
SWP
उपलब्ध
STP
उपलब्ध
खरीद कट-ऑफ
15:00
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