Kotak Balanced Advantage Fund Regular Growth

AllocationDynamic Asset Allocation
20.82
-0.07(-0.34%)
NAV as on 10 Dec, 2025
CAGR
11.31%

Top Performer

This scheme has consistently delivered the best returns in its Dynamic Asset Allocation category across .

Returns
  • AUM (Crs.)17,874.24
  • Expense Ratio1.65 %
  • Sharpe Ratio / Category Average0.68 / 0.73
  • Standard Deviation / Category Average7.05 / 7.69
  • Beta / Category Average0.99 / 1.03
  • Portfolio Turnover / Category Average248.93 / 184.74
  • Top 5 Stocks Wt.30.63
  • Top 10 Stocks Wt.45.34
  • Top 3 Sectors Wt.35.76
  • Investment StyleLarge Growth
  • Morningstar Rating

Performance

Absolute and Annualised Returns

Yearly Returns

Returns Calculator

Portfolio

Asset Allocation

  • Equity%
  • Debt%
  • Cash%
  • Derivatives%

Weightage by Market Cap

    Concentration

    • No. of Stocks--
    • Avg. Market Cap--
    • Top 10 Stocks--
    • Top 5 Stocks--
    • Top 3 Sectors--
    View Holdings

    Fundamentals

    MeasuresFundCategory Average

    Risk Metrics

    Peers

    1Y3Y5Y10Y
    Mutual FundAUM (cr.)3YReturns

    Holdings

    Stocks
    Sector

    About

    • Fund Manager(s)Check History
      Hiten Shah, Rohit Tandon, Abhishek Bisen
    • Launch Date03 Aug, 2018
    • BenchmarkS&P BSE 500

    Objective

    The investment objective of the scheme is to generate capital appreciation by investing in a dynamically balanced portfolio of equity & equity related securities and debt & money market securities.

    Riskometer

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