close
Sucess

Great! You have sucessfully subscribed for newsletters for investments

Subscribed email:

Motilal Oswal Balanced Advantage Fund Direct-Growth

NAV as of Oct 20, 2025Returns since inceptionET Money RankAUM (Fund size)
9.39% p.a.
App exclusive play store apple store
928 Cr

Historical NAV & returns

NAV: ₹22.7029 as on Oct 20, 2025
This fund Category average
Loading...
This fund Category average

Motilal Oswal Balanced Advantage Fund overview

Expense ratio0.94% as on Sep 30, 2025
Exit load1.0%info
Exit load of 1%, if redeemed within 365 days.!
AUM (Fund size)928 Cr
Lock-in PeriodNil
Age9 yrs 1 m since Sep 06, 2016
BenchmarkCRISIL Hybrid 50+50 Moderate Index
Min. investment

SIP: 500 & Lumpsum: 1000

RiskVery HighVery High Risk

Motilal Oswal Balanced Advantage Fund Returns calculator

Investment type
Investment period
Investment period
Disclaimer: Products compared like fixed deposits may provide fixed guaranteed returns. Mutual Funds investments are subject to market risk, read all scheme related documents carefully. Past performance is not an indicator of future returns.
  • Total investment ₹ 12 lakh
  • Profit ₹12 lakhs
  • Total corpus ₹1 lakh
  • Absolute return 52.69%

Trailing returns as on Oct 25, 2025

PeriodThis fundCategory average
1 Month 2.97% 2.21%
3 Months 4.45% 2.61%
6 Months 12.83% 6.71%
1 Year -5.03% 7.18%
2 Years 6.53% 15.77%
3 Years 10.83% 14.01%
4 Years 8.01% 11.38%
5 Years 9.87% 14.61%
7 Years 9.98% 12.65%

Asset allocationas on Sep 30, 2025

Large Cap 23.04%

Mid Cap 45.02%

Small Cap 28.2%

Other Cap 0%

Top holdings

Ellenbarrie Industrial Gases Ltd.8.86%

Top sectors

Services 23.86%

Technology 15.5%

Capital Goods 12.719999999999999%

Consumer Discretionary 10.21%

Cash & Call Money 3.73679588%

Top Debt Holdings

Others 0.56%

Allocation by Instruments

Net Receivables 3.17972893%

CBLO 0.55706695%

Other Holdings

Others 3.18%

Key risk & return ratios Compared to other funds in the category

Alpha -3.73 vs. 3.9 Underperformed at beating benchmark
Sharpe 0.21 vs. 3.73 Poor risk-adjusted returns
Beta 1.0 vs. 0.76 More sensitive to market's ups & downs
Standard deviation 13.73 vs. 5.57 More volatile performance

Compare Motilal Oswal Balanced Advantage Fund in detail with

ET Money rank

in Dynamic Asset Allocation
#NA
Ranking for this fund is unavailable.
  • Return Consistency: This fund ranks lower in terms of generating consistent return in it's category.
  • Volatility Protection: This fund ranks lower in terms of protecting against volatility within its category.
  • Chance: This fund has generated only 7.46% annual return in 70% of times for investors holding for at least 5 years.
  • Return/Risk: The fund is performing poorly than its category.
  • Exit Load: Exit load of 1%, if redeemed within 365 days.