Motilal Oswal Balanced Advantage Fund
An open ended dynamic asset allocation fund
Regular | Growth
-
investedProple:24,182
-
fundIcon:/content/dam/motilal-mf/fund-icons/MO_DE.svg
-
dateAsOn:31 Mar 2026
-
schDetail:
-
CMOTSAMCCode: 38442
-
dateOfAllotment: 2016-09-27
-
exitLoad:
1% - If redeemed on or before 365 days from the date of allotment. Nil - If redeemed after 365 days from thedate of allotment. Exit Load will be applicable on switchamongst the Schemes of MOMF. No Load shall be imposed for switching between Options within the Scheme. Further, it is clarified that there will be no exit load charged on a switch-out amongst the plans within the same scheme.
-
nfoStartDate: 27-Sep-2016
-
sebiCategory: Hybrid Fund
-
exitLoadShort: 1% < 1 year
-
cmotsGroupCode: MO33399
-
schemeName: Motilal Oswal Balanced Advantage Fund
-
fundCategoryCode: HF
-
schcode: DE
-
-
minamount:
-
0:
- minredamt: 500
- minsipamt: 500
- minpuramt: 500
- minaddpuramt: 500
- optioncode: D
- plancode: AD
-
1:
- minredamt: 500
- minsipamt: 500
- minpuramt: 500
- minaddpuramt: 500
- optioncode: R
- plancode: AD
-
2:
- minredamt: 500
- minsipamt: 500
- minpuramt: 500
- minaddpuramt: 500
- optioncode: D
- plancode: DA
-
3:
- minredamt: 500
- minsipamt: 500
- minpuramt: 500
- minaddpuramt: 500
- optioncode: R
- plancode: DA
-
4:
- minredamt: 500
- minsipamt: 500
- minpuramt: 500
- minaddpuramt: 500
- optioncode: D
- plancode: DQ
-
5:
- minredamt: 500
- minsipamt: 500
- minpuramt: 500
- minaddpuramt: 500
- optioncode: R
- plancode: DQ
-
6:
- minredamt: 500
- minsipamt: 500
- minpuramt: 500
- minaddpuramt: 500
- optioncode: G
- plancode: GD
-
7:
- minredamt: 500
- minsipamt: 500
- minpuramt: 500
- minaddpuramt: 500
- optioncode: G
- plancode: GP
-
8:
- minredamt: 500
- minsipamt: 500
- minpuramt: 500
- minaddpuramt: 500
- optioncode: D
- plancode: QD
-
9:
- minredamt: 500
- minsipamt: 500
- minpuramt: 500
- minaddpuramt: 500
- optioncode: R
- plancode: QD
-
-
fundsTaggingSection:
- 0: motilal-oswal-amc:active
- 1: motilal-oswal-amc:hybrid-&-balanced
- 2: motilal-oswal-amc:balanced-advantage
-
planList:
-
0:
- planName: Direct
- groupedName: Direct Growth
- optionName: Growth
- sixth_char_name: D
- planCode: GD
- planNameOriginal: Direct Growth
- groupedCode: GDG
- optionCode: G
- schDetail:
- fundCategoryCode:
- cfReferencePath: /content/dam/motilal-mf/content-fragment/plan-code-model-fragment/direct-growth
- isin: INF247L01635
- amfi_schcode: 139872
- cmt_schcode: 33407
-
1:
- planName: Regular
- groupedName: Regular-Growth
- optionName: Growth
- sixth_char_name: R
- planCode: GP
- planNameOriginal: Regular Growth
- groupedCode: GPG
- optionCode: G
- schDetail:
- fundCategoryCode:
- cfReferencePath: /content/dam/motilal-mf/content-fragment/plan-code-model-fragment/regular-growth
- isin: INF247L01585
- amfi_schcode: 139870
- cmt_schcode: 33399
-
2:
- planName: Regular
- groupedName: Regular-IDCW Dividend Reinvestment - Quaterly
- optionName: IDCW Dividend Reinvestment - Quaterly
- sixth_char_name: D
- planCode: RM
- planNameOriginal: Regular IDCW Dividend Reinvestment
- groupedCode: RMD
- optionCode: D
- schDetail:
- fundCategoryCode:
- cfReferencePath: /content/dam/motilal-mf/content-fragment/plan-code-model-fragment/regular-idcw-dividend-reinvestment-quarterly
-
3:
- planName: Direct
- groupedName: Direct-IDCW Dividend Reinvestment Quarterly
- optionName: IDCW Reinvestment - Quarterly
- sixth_char_name: D
- planCode: DQ
- planNameOriginal: Direct Reinvestment
- groupedCode: DQR
- optionCode: R
- schDetail:
- fundCategoryCode:
- cfReferencePath: /content/dam/motilal-mf/content-fragment/plan-code-model-fragment/direct-idcw-dividend-reinvestment-quarterly
- isin: INF247L01668
- amfi_schcode: 139865
- cmt_schcode: 33409
-
4:
- planName: Direct
- groupedName: Direct-IDCW Dividend Payout Quarterly
- optionName: IDCW Payout - Quarterly
- sixth_char_name: D
- planCode: DQ
- planNameOriginal: Direct Payout
- groupedCode: DQD
- optionCode: R
- schDetail:
- fundCategoryCode:
- cfReferencePath: /content/dam/motilal-mf/content-fragment/plan-code-model-fragment/direct-idcw-dividend-payout-quarterly
- isin: INF247L01668
- amfi_schcode: 139865
- cmt_schcode: 33409
-
-
nav:
-
0:
- latnav: 11.3097
- optioncode: D
- plancode: AD
- prodcode: DEAD
- recdt: 24-Apr-2026
- navchng: -0.04
- navchngper: -0.34
-
1:
- latnav: 16.2492
- optioncode: R
- plancode: AD
- prodcode: DEAD
- nav_date: 24-Apr-2026
- nav_amount: 12.0942
- recdt: 24-Apr-2026
- navchng: -0.04
- navchngper: -0.34
-
2:
- latnav: 12.0407
- optioncode: D
- plancode: DA
- prodcode: DEDA
- recdt: 24-Apr-2026
- navchng: -0.04
- navchngper: -0.33
-
3:
- latnav: 12.0407
- optioncode: R
- plancode: DA
- prodcode: DEDA
- nav_date: 24-Apr-2026
- nav_amount: 12.8866
- recdt: 24-Apr-2026
- navchng: -0.04
- navchngper: -0.33
-
4:
- latnav: 10.8233
- optioncode: D
- plancode: DQ
- prodcode: DEDQ
- recdt: 24-Apr-2026
- navchng: -0.04
- navchngper: -0.33
-
5:
- latnav: 10.8233
- optioncode: R
- plancode: DQ
- prodcode: DEDQ
- nav_date: 24-Apr-2026
- nav_amount: 11.5837
- recdt: 24-Apr-2026
- navchng: -0.04
- navchngper: -0.33
-
6:
- latnav: 18.8194
- optioncode: G
- plancode: GD
- prodcode: DEGD
- nav_date: 24-Apr-2026
- nav_amount: 20.1415
- recdt: 24-Apr-2026
- navchng: -0.07
- navchngper: -0.33
-
7:
- latnav: 16.7748
- optioncode: G
- plancode: GP
- prodcode: DEGP
- nav_date: 24-Apr-2026
- nav_amount: 17.9384
- recdt: 24-Apr-2026
- navchng: -0.06
- navchngper: -0.34
-
8:
- latnav: 10.0356
- optioncode: D
- plancode: QD
- prodcode: DEQD
- recdt: 24-Apr-2026
- navchng: -0.04
- navchngper: -0.34
-
9:
- latnav: 14.1588
- optioncode: R
- plancode: QD
- prodcode: DEQD
- nav_date: 24-Apr-2026
- nav_amount: 10.7317
- recdt: 24-Apr-2026
- navchng: -0.04
- navchngper: -0.34
-
-
returns:
-
0:
- oneYear_Ret: -11.99
- oneYear_marketValue: 8801.459944901866
- threeYear_Ret: -1.43
- threeYear_marketValue: 9577.673520544697
- fiveYear_Ret: -3.12
- fiveYear_marketValue: 8532.724734995661
- sevenYear_Ret: -0.26
- sevenYear_marketValue: 9822.222608212323
- inception_Ret: 1.3
- inception_marketValue: 11309.7
- latNavDate: 2026-03-31
- prodcode: DEAD
- plancode: AD
- optioncode: D
-
1:
- oneYear_Ret: -10.82
- oneYear_marketValue: 8918.376416561736
- threeYear_Ret: -0.17
- threeYear_marketValue: 9950.087182156993
- fiveYear_Ret: -2.09
- fiveYear_marketValue: 8998.355877737089
- sevenYear_Ret: 0.16
- sevenYear_marketValue: 10109.994374333524
- inception_Ret: 1.97
- inception_marketValue: 12040.699999999999
- latNavDate: 2026-03-31
- prodcode: DEDA
- plancode: DA
- optioncode: D
-
2:
- oneYear_Ret: -10.53
- oneYear_marketValue: 8946.946400820025
- threeYear_Ret: -0.03
- threeYear_marketValue: 9992.152735464097
- fiveYear_Ret: -2.04
- fiveYear_marketValue: 9020.01800120008
- sevenYear_Ret: -1.08
- sevenYear_marketValue: 9269.38097358775
- inception_Ret: 0.84
- inception_marketValue: 10823.3
- latNavDate: 2026-03-31
- prodcode: DEDQ
- plancode: DQ
- optioncode: D
-
3:
- oneYear_Ret: -5.09
- oneYear_marketValue: 9491.421135980796
- threeYear_Ret: 6.15
- threeYear_marketValue: 11959.608027555005
- fiveYear_Ret: 4.1
- fiveYear_marketValue: 12222.373761974348
- sevenYear_Ret: 5.92
- sevenYear_marketValue: 14961.799289252125
- inception_Ret: 6.87
- inception_marketValue: 18819.4
- latNavDate: 2026-03-31
- prodcode: DEGD
- plancode: GD
- optioncode: G
- amfi_schcode: 139872
- cmt_schcode: 33407
- isin: INF247L01635
-
4:
- oneYear_Ret: -6.4
- oneYear_marketValue: 9360.415155404273
- threeYear_Ret: 4.79
- threeYear_marketValue: 11506.612522636227
- fiveYear_Ret: 2.78
- fiveYear_marketValue: 11469.478175254348
- sevenYear_Ret: 4.6
- sevenYear_marketValue: 13703.894321495969
- inception_Ret: 5.59
- inception_marketValue: 16774.8
- latNavDate: 2026-03-31
- prodcode: DEGP
- plancode: GP
- optioncode: G
- amfi_schcode: 139870
- cmt_schcode: 33399
- isin: INF247L01585
-
5:
- oneYear_Ret: -11.77
- oneYear_marketValue: 8823.358742383878
- threeYear_Ret: -1.31
- threeYear_marketValue: 9612.735754173891
- fiveYear_Ret: -3.3
- fiveYear_marketValue: 8453.879201415215
- sevenYear_Ret: -1.75
- sevenYear_marketValue: 8836.488509289426
- inception_Ret: 0.04
- inception_marketValue: 10035.6
- latNavDate: 2026-03-31
- prodcode: DEQD
- plancode: QD
- optioncode: D
-
Historical Performance
CAGR
planList:
-
0:
- planName: Direct
- groupedName: Direct Growth
- optionName: Growth
- sixth_char_name: D
- planCode: GD
- planNameOriginal: Direct Growth
- groupedCode: GDG
- optionCode: G
- schDetail:
- fundCategoryCode:
- cfReferencePath: /content/dam/motilal-mf/content-fragment/plan-code-model-fragment/direct-growth
- isin: INF247L01635
- amfi_schcode: 139872
- cmt_schcode: 33407
-
1:
- planName: Regular
- groupedName: Regular-Growth
- optionName: Growth
- sixth_char_name: R
- planCode: GP
- planNameOriginal: Regular Growth
- groupedCode: GPG
- optionCode: G
- schDetail:
- fundCategoryCode:
- cfReferencePath: /content/dam/motilal-mf/content-fragment/plan-code-model-fragment/regular-growth
- isin: INF247L01585
- amfi_schcode: 139870
- cmt_schcode: 33399
-
2:
- planName: Regular
- groupedName: Regular-IDCW Dividend Reinvestment - Quaterly
- optionName: IDCW Dividend Reinvestment - Quaterly
- sixth_char_name: D
- planCode: RM
- planNameOriginal: Regular IDCW Dividend Reinvestment
- groupedCode: RMD
- optionCode: D
- schDetail:
- fundCategoryCode:
- cfReferencePath: /content/dam/motilal-mf/content-fragment/plan-code-model-fragment/regular-idcw-dividend-reinvestment-quarterly
-
3:
- planName: Direct
- groupedName: Direct-IDCW Dividend Reinvestment Quarterly
- optionName: IDCW Reinvestment - Quarterly
- sixth_char_name: D
- planCode: DQ
- planNameOriginal: Direct Reinvestment
- groupedCode: DQR
- optionCode: R
- schDetail:
- fundCategoryCode:
- cfReferencePath: /content/dam/motilal-mf/content-fragment/plan-code-model-fragment/direct-idcw-dividend-reinvestment-quarterly
- isin: INF247L01668
- amfi_schcode: 139865
- cmt_schcode: 33409
-
4:
- planName: Direct
- groupedName: Direct-IDCW Dividend Payout Quarterly
- optionName: IDCW Payout - Quarterly
- sixth_char_name: D
- planCode: DQ
- planNameOriginal: Direct Payout
- groupedCode: DQD
- optionCode: R
- schDetail:
- fundCategoryCode:
- cfReferencePath: /content/dam/motilal-mf/content-fragment/plan-code-model-fragment/direct-idcw-dividend-payout-quarterly
- isin: INF247L01668
- amfi_schcode: 139865
- cmt_schcode: 33409
-
returns:
-
0:
- oneYear_Ret: -11.99
- oneYear_marketValue: 8801.459944901866
- threeYear_Ret: -1.43
- threeYear_marketValue: 9577.673520544697
- fiveYear_Ret: -3.12
- fiveYear_marketValue: 8532.724734995661
- sevenYear_Ret: -0.26
- sevenYear_marketValue: 9822.222608212323
- inception_Ret: 1.3
- inception_marketValue: 11309.7
- latNavDate: 2026-03-31
- prodcode: DEAD
- plancode: AD
- optioncode: D
-
1:
- oneYear_Ret: -10.82
- oneYear_marketValue: 8918.376416561736
- threeYear_Ret: -0.17
- threeYear_marketValue: 9950.087182156993
- fiveYear_Ret: -2.09
- fiveYear_marketValue: 8998.355877737089
- sevenYear_Ret: 0.16
- sevenYear_marketValue: 10109.994374333524
- inception_Ret: 1.97
- inception_marketValue: 12040.699999999999
- latNavDate: 2026-03-31
- prodcode: DEDA
- plancode: DA
- optioncode: D
-
2:
- oneYear_Ret: -10.53
- oneYear_marketValue: 8946.946400820025
- threeYear_Ret: -0.03
- threeYear_marketValue: 9992.152735464097
- fiveYear_Ret: -2.04
- fiveYear_marketValue: 9020.01800120008
- sevenYear_Ret: -1.08
- sevenYear_marketValue: 9269.38097358775
- inception_Ret: 0.84
- inception_marketValue: 10823.3
- latNavDate: 2026-03-31
- prodcode: DEDQ
- plancode: DQ
- optioncode: D
-
3:
- oneYear_Ret: -5.09
- oneYear_marketValue: 9491.421135980796
- threeYear_Ret: 6.15
- threeYear_marketValue: 11959.608027555005
- fiveYear_Ret: 4.1
- fiveYear_marketValue: 12222.373761974348
- sevenYear_Ret: 5.92
- sevenYear_marketValue: 14961.799289252125
- inception_Ret: 6.87
- inception_marketValue: 18819.4
- latNavDate: 2026-03-31
- prodcode: DEGD
- plancode: GD
- optioncode: G
- amfi_schcode: 139872
- cmt_schcode: 33407
- isin: INF247L01635
-
4:
- oneYear_Ret: -6.4
- oneYear_marketValue: 9360.415155404273
- threeYear_Ret: 4.79
- threeYear_marketValue: 11506.612522636227
- fiveYear_Ret: 2.78
- fiveYear_marketValue: 11469.478175254348
- sevenYear_Ret: 4.6
- sevenYear_marketValue: 13703.894321495969
- inception_Ret: 5.59
- inception_marketValue: 16774.8
- latNavDate: 2026-03-31
- prodcode: DEGP
- plancode: GP
- optioncode: G
- amfi_schcode: 139870
- cmt_schcode: 33399
- isin: INF247L01585
-
5:
- oneYear_Ret: -11.77
- oneYear_marketValue: 8823.358742383878
- threeYear_Ret: -1.31
- threeYear_marketValue: 9612.735754173891
- fiveYear_Ret: -3.3
- fiveYear_marketValue: 8453.879201415215
- sevenYear_Ret: -1.75
- sevenYear_marketValue: 8836.488509289426
- inception_Ret: 0.04
- inception_marketValue: 10035.6
- latNavDate: 2026-03-31
- prodcode: DEQD
- plancode: QD
- optioncode: D
-
-
bmCode: 2085
Periodic Returns
Data as on 31 Mar 2026
- 1Y
- 3Y
- 5Y
- 7Y
- 10Y
- Inception
-
schemeName: Motilal Oswal Balanced Advantage Fund
-
planList:
-
0:
- planName: Direct
- groupedName: Direct Growth
- optionName: Growth
- sixth_char_name: D
- planCode: GD
- planNameOriginal: Direct Growth
- groupedCode: GDG
- optionCode: G
- schDetail:
- fundCategoryCode:
- cfReferencePath: /content/dam/motilal-mf/content-fragment/plan-code-model-fragment/direct-growth
- isin: INF247L01635
- amfi_schcode: 139872
- cmt_schcode: 33407
-
1:
- planName: Regular
- groupedName: Regular-Growth
- optionName: Growth
- sixth_char_name: R
- planCode: GP
- planNameOriginal: Regular Growth
- groupedCode: GPG
- optionCode: G
- schDetail:
- fundCategoryCode:
- cfReferencePath: /content/dam/motilal-mf/content-fragment/plan-code-model-fragment/regular-growth
- isin: INF247L01585
- amfi_schcode: 139870
- cmt_schcode: 33399
-
2:
- planName: Regular
- groupedName: Regular-IDCW Dividend Reinvestment - Quaterly
- optionName: IDCW Dividend Reinvestment - Quaterly
- sixth_char_name: D
- planCode: RM
- planNameOriginal: Regular IDCW Dividend Reinvestment
- groupedCode: RMD
- optionCode: D
- schDetail:
- fundCategoryCode:
- cfReferencePath: /content/dam/motilal-mf/content-fragment/plan-code-model-fragment/regular-idcw-dividend-reinvestment-quarterly
-
3:
- planName: Direct
- groupedName: Direct-IDCW Dividend Reinvestment Quarterly
- optionName: IDCW Reinvestment - Quarterly
- sixth_char_name: D
- planCode: DQ
- planNameOriginal: Direct Reinvestment
- groupedCode: DQR
- optionCode: R
- schDetail:
- fundCategoryCode:
- cfReferencePath: /content/dam/motilal-mf/content-fragment/plan-code-model-fragment/direct-idcw-dividend-reinvestment-quarterly
- isin: INF247L01668
- amfi_schcode: 139865
- cmt_schcode: 33409
-
4:
- planName: Direct
- groupedName: Direct-IDCW Dividend Payout Quarterly
- optionName: IDCW Payout - Quarterly
- sixth_char_name: D
- planCode: DQ
- planNameOriginal: Direct Payout
- groupedCode: DQD
- optionCode: R
- schDetail:
- fundCategoryCode:
- cfReferencePath: /content/dam/motilal-mf/content-fragment/plan-code-model-fragment/direct-idcw-dividend-payout-quarterly
- isin: INF247L01668
- amfi_schcode: 139865
- cmt_schcode: 33409
-
-
returns:
-
0:
- oneYear_Ret: -11.99
- oneYear_marketValue: 8801.459944901866
- threeYear_Ret: -1.43
- threeYear_marketValue: 9577.673520544697
- fiveYear_Ret: -3.12
- fiveYear_marketValue: 8532.724734995661
- sevenYear_Ret: -0.26
- sevenYear_marketValue: 9822.222608212323
- inception_Ret: 1.3
- inception_marketValue: 11309.7
- latNavDate: 2026-03-31
- prodcode: DEAD
- plancode: AD
- optioncode: D
-
1:
- oneYear_Ret: -10.82
- oneYear_marketValue: 8918.376416561736
- threeYear_Ret: -0.17
- threeYear_marketValue: 9950.087182156993
- fiveYear_Ret: -2.09
- fiveYear_marketValue: 8998.355877737089
- sevenYear_Ret: 0.16
- sevenYear_marketValue: 10109.994374333524
- inception_Ret: 1.97
- inception_marketValue: 12040.699999999999
- latNavDate: 2026-03-31
- prodcode: DEDA
- plancode: DA
- optioncode: D
-
2:
- oneYear_Ret: -10.53
- oneYear_marketValue: 8946.946400820025
- threeYear_Ret: -0.03
- threeYear_marketValue: 9992.152735464097
- fiveYear_Ret: -2.04
- fiveYear_marketValue: 9020.01800120008
- sevenYear_Ret: -1.08
- sevenYear_marketValue: 9269.38097358775
- inception_Ret: 0.84
- inception_marketValue: 10823.3
- latNavDate: 2026-03-31
- prodcode: DEDQ
- plancode: DQ
- optioncode: D
-
3:
- oneYear_Ret: -5.09
- oneYear_marketValue: 9491.421135980796
- threeYear_Ret: 6.15
- threeYear_marketValue: 11959.608027555005
- fiveYear_Ret: 4.1
- fiveYear_marketValue: 12222.373761974348
- sevenYear_Ret: 5.92
- sevenYear_marketValue: 14961.799289252125
- inception_Ret: 6.87
- inception_marketValue: 18819.4
- latNavDate: 2026-03-31
- prodcode: DEGD
- plancode: GD
- optioncode: G
- amfi_schcode: 139872
- cmt_schcode: 33407
- isin: INF247L01635
-
4:
- oneYear_Ret: -6.4
- oneYear_marketValue: 9360.415155404273
- threeYear_Ret: 4.79
- threeYear_marketValue: 11506.612522636227
- fiveYear_Ret: 2.78
- fiveYear_marketValue: 11469.478175254348
- sevenYear_Ret: 4.6
- sevenYear_marketValue: 13703.894321495969
- inception_Ret: 5.59
- inception_marketValue: 16774.8
- latNavDate: 2026-03-31
- prodcode: DEGP
- plancode: GP
- optioncode: G
- amfi_schcode: 139870
- cmt_schcode: 33399
- isin: INF247L01585
-
5:
- oneYear_Ret: -11.77
- oneYear_marketValue: 8823.358742383878
- threeYear_Ret: -1.31
- threeYear_marketValue: 9612.735754173891
- fiveYear_Ret: -3.3
- fiveYear_marketValue: 8453.879201415215
- sevenYear_Ret: -1.75
- sevenYear_marketValue: 8836.488509289426
- inception_Ret: 0.04
- inception_marketValue: 10035.6
- latNavDate: 2026-03-31
- prodcode: DEQD
- plancode: QD
- optioncode: D
-
-
benchmarkreturns:
-
0:
- type: BM
- groupName: CRISIL Hybrid 35+65 - Aggressive Index (PRIMARY)
- latNavDate: 2026-03-31
- latnav: 19478.9399
- oneYear_Ret: -0.6215465702318013
- inception_Ret: -1.6132288979915255
- bmcode: 2055.0
-
1:
- type: BM
- groupName: CRISIL Hybrid 50+50 - Moderate Index (PRIMARY)
- latNavDate: 2026-03-31
- bmcode: 2085.0
-
2:
- type: BM
- groupName: Nifty 50 TRI (SECONDARY)
- latNavDate: 2026-03-31
- latnav: 33655.43
- oneYear_Ret: -3.989977771489084
- threeYear_Ret: 10.028662063667305
- fiveYear_Ret: 10.011430391484488
- inception_Ret: 11.72134958810258
- bmcode: 2006.0
-
Date of inception: 27-Sep-2016. Incase, the start/end date of the concerned period is non business date (NBD), the NAV of the previous date is considered for computation of returns. The NAV per unit shown in the table is as on the start date of the said period. Past performance may or may not be sustained in the future. Performance is for Regular Plan Growth Option. Different plans have different expense structure. Funds managed by Mr. Santosh Singh, Mr. Ajay Khandelwal, Mr. Atul Mehra, Mr. Rakesh Shetty and Mr. Sunil Sawant for Foreign securities w.e.f. July 1, 2024. (Data as on 30th November 2024)
*Investors should consult their financial advisers if in doubt about whether the product is suitable for them.
Past Performance Calculator
Explore how much wealth you would have created by investing in our schemes using this SIP Calculator
Search a fund
Motilal Oswal Mid cap fund
SIP
Lumpsum
If you would have invested monthly
If you would have invested
10000
Tenure
10
Invested Amount
1200000
Current Value of Investment
Disclaimer:
- This calculator is provided for informational purposes only.
- The results are based on user inputs and should not be considered as investment advice. Users should seek the advice of a qualified financial professional before making any investment decisions.
- The creators of the calculator and its affiliates shall not be held responsible for any financial losses resulting from the use of the calculator.
- Past performance may or may not be sustained in the future and should not be used as a basis for comparison with other investments. Mutual Fund Investments are subject to market risks, read all scheme related documents carefully.
- SIP is allowed in select open ended schemes. Refer the Scheme SAI, SID, KIM for detailed information.
Why this fund?
Expertise
Backed by a decade of financial expertise, we focus on long-term wealth creation through early investment in promising midcaps.
High Conviction
A focused portfolio of ~35 high-conviction midcap stocks, carefully selected for their unique potential.
Quality and Growth
We prioritize business quality and management strength, guided by our QGLP investment philosophy.
*Based upon our current investment strategy.
Pioneering Growth
A House known for identifying high-growth themes that serve as compounding instruments & stand as formidable wealth creators.
Skin in the Game
Our promoters have invested a substantial ~71772 Cr.*, firmly aligning our interests with yours.
*Data as on 31st January 2024.
Disclaimer: The investment objective of the Scheme is to achieve long term capital appreciation by predominantly investing in equity.
Portfolio Composition
Download
-
Date As On: 31 Mar 2026
-
portfolioUrl: /content/dam/motilal-mf/sheets/fund-csvs/Month_End_Portfolio_March_2026/YO10.xlsx
-
holdings:
-
0:
- srNo: 1
- nameOfSecurity: Bharti Airtel Limited
- percentToNAV: 8.07%
-
1:
- srNo: 2
- nameOfSecurity: ICICI Bank Limited
- percentToNAV: 6.87%
-
2:
- srNo: 3
- nameOfSecurity: Coforge Limited
- percentToNAV: 6.35%
-
3:
- srNo: 4
- nameOfSecurity: Eternal Limited
- percentToNAV: 6.35%
-
4:
- srNo: 5
- nameOfSecurity: Kalyan Jewellers India Limited
- percentToNAV: 5.36%
-
5:
- srNo: 6
- nameOfSecurity: NTPC Limited
- percentToNAV: 4.48%
-
6:
- srNo: 7
- nameOfSecurity: Shaily Engineering Plastics Limited
- percentToNAV: 4.26%
-
7:
- srNo: 8
- nameOfSecurity: Bharat Heavy Electricals Limited
- percentToNAV: 3.08%
-
8:
- srNo: 9
- nameOfSecurity: ICICI Prudential Asset Management Company Limited
- percentToNAV: 3.03%
-
9:
- srNo: 10
- nameOfSecurity: IndusInd Bank Limited
- percentToNAV: 3.00%
-
10:
- srNo: 11
- nameOfSecurity: Torrent Pharmaceuticals Limited
- percentToNAV: 2.51%
-
11:
- srNo: 12
- nameOfSecurity: CG Power and Industrial Solutions Limited
- percentToNAV: 2.50%
-
12:
- srNo: 13
- nameOfSecurity: Axis Bank Limited
- percentToNAV: 2.43%
-
13:
- srNo: 14
- nameOfSecurity: Shriram Finance Limited
- percentToNAV: 2.13%
-
14:
- srNo: 15
- nameOfSecurity: Bharat Electronics Limited
- percentToNAV: 2.10%
-
15:
- srNo: 16
- nameOfSecurity: Ellenbarrie Industrial Gases Limited
- percentToNAV: 2.06%
-
16:
- srNo: 17
- nameOfSecurity: Apollo Hospitals Enterprise Limited
- percentToNAV: 2.05%
-
17:
- srNo: 18
- nameOfSecurity: Reliance Industries Limited
- percentToNAV: 1.95%
-
18:
- srNo: 19
- nameOfSecurity: Shriram Finance Limited April 2026 Future
- percentToNAV: -0.91%
-
19:
- srNo: 20
- nameOfSecurity: Coforge Limited April 2026 Future
- percentToNAV: -0.94%
-
20:
- srNo: 21
- nameOfSecurity: Eternal Limited April 2026 Future
- percentToNAV: -0.95%
-
21:
- srNo: 22
- nameOfSecurity: ICICI Bank Limited April 2026 Future
- percentToNAV: -0.98%
-
22:
- srNo: 23
- nameOfSecurity: NTPC Limited April 2026 Future
- percentToNAV: -1.53%
-
23:
- srNo: 24
- nameOfSecurity: Bharti Airtel Limited April 2026 Future
- percentToNAV: -4.06%
-
24:
- srNo: 25
- nameOfSecurity: Bajaj Finance Limited
- percentToNAV: 3.53%
-
25:
- srNo: 26
- nameOfSecurity: Muthoot Finance Limited
- percentToNAV: 3.52%
-
26:
- srNo: 27
- nameOfSecurity: Kotak Mahindra Prime Limited
- percentToNAV: 3.51%
-
27:
- srNo: 28
- nameOfSecurity: Tata Capital Limited
- percentToNAV: 3.50%
-
28:
- srNo: 29
- nameOfSecurity: Collateralized Borrowing & Lending Obligation
- percentToNAV: 2.54%
-
-
sector:
-
0:
- sector: Banks
- percentage: 12.30%
-
1:
- sector: CRISIL AAA
- percentage: 10.54%
-
2:
- sector: Consumer Durables
- percentage: 9.62%
-
3:
- sector: Telecom - Services
- percentage: 8.07%
-
4:
- sector: IT - Software
- percentage: 6.35%
-
5:
- sector: Retailing
- percentage: 6.35%
-
6:
- sector: Electrical Equipment
- percentage: 5.58%
-
7:
- sector: Power
- percentage: 4.48%
-
8:
- sector: CRISIL AA+
- percentage: 3.52%
-
9:
- sector: Capital Markets
- percentage: 3.03%
-
10:
- sector: Pharmaceuticals & Biotechnology
- percentage: 2.51%
-
Industry Classification as recommended by AMFI
-
-
Key Facts
- Launched on 06 Feb 2024
-
Investment Objective
-
methodology:
a) Methodology of calculating sale price: The price or NAV, an investor is charged while investing in an open-ended scheme is called sale or subscription price. Pursuant to SEBI Circular dated June 30, 2009, no entry load will be charged by the scheme to the investors. Therefore, sale or subscription price = Applicable NAV (for respective plan and option of the scheme).
Example: An investor invests Rs. 10,000/- and the current NAV is Rs. 10/- then the purchase price will be Rs. 10/- and the investor receives 10,000/10 = 1000 unitsb) Methodology of calculating repurchase price of units: Repurchase or redemption price is the price or NAV at which an open-ended scheme purchases or redeems its units from the investors. It may include exit load, if applicable. The exit load, if any, shall be charged as a percentage of Net Assets Value (NAV) i.e. applicable load as a percentage of NAV will be deducted from the "Applicable NAV" to calculate the repurchase price. Therefore, repurchase or redemption price = Applicable NAV * (1- Exit Load, if any)
Example: If the applicable NAV is Rs. 10 and a 2% exit load is charged, the redemption price per unit will be calculated as follows: = Rs. 10 * (1-0.02) = Rs. 10 * (0.98) = Rs. 9.80 -
investmentObjective:
The investment objective is to generate long term capital appreciation by investing in equity and equity related instruments including equity derivatives & International Stocks, debt, money market instruments. However, there can be no assurance or guarantee that the investment objective of the Scheme would be achieved.
-
applicationAmount:
₹ 500/- and in multiples of ₹ 1/- thereafter
-
redemptionAmont: ₹ 500/- and in multiples of ₹ 1/- thereafter or account balance, whichever is lower.
-
exitLoad:
1% - If redeemed on or before 365 days from the date of allotment. Nil - If redeemed after 365 days from thedate of allotment. Exit Load will be applicable on switchamongst the Schemes of MOMF. No Load shall be imposed for switching between Options within the Scheme. Further, it is clarified that there will be no exit load charged on a switch-out amongst the plans within the same scheme.
-
aum:
-
0:
- latestAum: 701.8059
- latestAumAsOnDt: 2026-03-31T00:00:00
- optioncode: D
- plancode: AD
- prodcode: DEAD
-
1:
- latestAum: 701.8059
- latestAumAsOnDt: 2026-03-31T00:00:00
- optioncode: R
- plancode: AD
- prodcode: DEAD
-
2:
- latestAum: 701.8059
- latestAumAsOnDt: 2026-03-31T00:00:00
- optioncode: D
- plancode: DA
- prodcode: DEDA
-
3:
- latestAum: 701.8059
- latestAumAsOnDt: 2026-03-31T00:00:00
- optioncode: R
- plancode: DA
- prodcode: DEDA
-
4:
- latestAum: 701.8059
- latestAumAsOnDt: 2026-03-31T00:00:00
- optioncode: D
- plancode: DQ
- prodcode: DEDQ
-
5:
- latestAum: 701.8059
- latestAumAsOnDt: 2026-03-31T00:00:00
- optioncode: R
- plancode: DQ
- prodcode: DEDQ
-
6:
- latestAum: 701.8059
- latestAumAsOnDt: 2026-03-31T00:00:00
- optioncode: G
- plancode: GD
- prodcode: DEGD
-
7:
- latestAum: 701.8059
- latestAumAsOnDt: 2026-03-31T00:00:00
- optioncode: G
- plancode: GP
- prodcode: DEGP
-
8:
- latestAum: 701.8059
- latestAumAsOnDt: 2026-03-31T00:00:00
- optioncode: D
- plancode: QD
- prodcode: DEQD
-
9:
- latestAum: 701.8059
- latestAumAsOnDt: 2026-03-31T00:00:00
- optioncode: R
- plancode: QD
- prodcode: DEQD
-
-
portfolioTurnoverRatio: 3.42
-
planList:
-
0:
- planName: Direct
- groupedName: Direct Growth
- optionName: Growth
- sixth_char_name: D
- planCode: GD
- planNameOriginal: Direct Growth
- groupedCode: GDG
- optionCode: G
- schDetail:
- fundCategoryCode:
- cfReferencePath: /content/dam/motilal-mf/content-fragment/plan-code-model-fragment/direct-growth
- isin: INF247L01635
- amfi_schcode: 139872
- cmt_schcode: 33407
-
1:
- planName: Regular
- groupedName: Regular-Growth
- optionName: Growth
- sixth_char_name: R
- planCode: GP
- planNameOriginal: Regular Growth
- groupedCode: GPG
- optionCode: G
- schDetail:
- fundCategoryCode:
- cfReferencePath: /content/dam/motilal-mf/content-fragment/plan-code-model-fragment/regular-growth
- isin: INF247L01585
- amfi_schcode: 139870
- cmt_schcode: 33399
-
2:
- planName: Regular
- groupedName: Regular-IDCW Dividend Reinvestment - Quaterly
- optionName: IDCW Dividend Reinvestment - Quaterly
- sixth_char_name: D
- planCode: RM
- planNameOriginal: Regular IDCW Dividend Reinvestment
- groupedCode: RMD
- optionCode: D
- schDetail:
- fundCategoryCode:
- cfReferencePath: /content/dam/motilal-mf/content-fragment/plan-code-model-fragment/regular-idcw-dividend-reinvestment-quarterly
-
3:
- planName: Direct
- groupedName: Direct-IDCW Dividend Reinvestment Quarterly
- optionName: IDCW Reinvestment - Quarterly
- sixth_char_name: D
- planCode: DQ
- planNameOriginal: Direct Reinvestment
- groupedCode: DQR
- optionCode: R
- schDetail:
- fundCategoryCode:
- cfReferencePath: /content/dam/motilal-mf/content-fragment/plan-code-model-fragment/direct-idcw-dividend-reinvestment-quarterly
- isin: INF247L01668
- amfi_schcode: 139865
- cmt_schcode: 33409
-
4:
- planName: Direct
- groupedName: Direct-IDCW Dividend Payout Quarterly
- optionName: IDCW Payout - Quarterly
- sixth_char_name: D
- planCode: DQ
- planNameOriginal: Direct Payout
- groupedCode: DQD
- optionCode: R
- schDetail:
- fundCategoryCode:
- cfReferencePath: /content/dam/motilal-mf/content-fragment/plan-code-model-fragment/direct-idcw-dividend-payout-quarterly
- isin: INF247L01668
- amfi_schcode: 139865
- cmt_schcode: 33409
-
-
benchmark: CRISIL Hybrid 50+50 - Moderate Index | CRISIL Hybrid 50+50 - Moderate Index TRI
-
expenseRatioDirect: 1.10%
-
benchmarkreturns:
-
0:
- type: BM
- groupName: CRISIL Hybrid 35+65 - Aggressive Index (PRIMARY)
- latNavDate: 2026-03-31
- latnav: 19478.9399
- oneYear_Ret: -0.6215465702318013
- inception_Ret: -1.6132288979915255
- bmcode: 2055.0
-
1:
- type: BM
- groupName: CRISIL Hybrid 50+50 - Moderate Index (PRIMARY)
- latNavDate: 2026-03-31
- bmcode: 2085.0
-
2:
- type: BM
- groupName: Nifty 50 TRI (SECONDARY)
- latNavDate: 2026-03-31
- latnav: 33655.43
- oneYear_Ret: -3.989977771489084
- threeYear_Ret: 10.028662063667305
- fiveYear_Ret: 10.011430391484488
- inception_Ret: 11.72134958810258
- bmcode: 2006.0
-
-
entryLoad:
NIL
Minimum Application Amount
₹500/- and in multiples of ₹1/- thereafter
Minimum Redemption Amount
₹500/- then ₹1/- increments, up to account balance
Latest AUM
701.8059
2026-03-31T00:00:00
Portfolio Turnover Ratio
3.42
Plans
Direct,Regular
Options (Under each plan)
Growth
Benchmark
CRISIL Hybrid 50+50 - Moderate Index | CRISIL Hybrid 50+50 - Moderate Index TRI
Total Expense Ratio
1.10%
Inception date
2026-03-31
Entry Load
NIL
Exit Load Policy
Our Fund Managers
Managing this fund since
Total AUM
-
-
schDetail
-
CMOTSAMCCode: 38442
-
dateOfAllotment: 2016-09-27
-
exitLoad:
1% - If redeemed on or before 365 days from the date of allotment. Nil - If redeemed after 365 days from thedate of allotment. Exit Load will be applicable on switchamongst the Schemes of MOMF. No Load shall be imposed for switching between Options within the Scheme. Further, it is clarified that there will be no exit load charged on a switch-out amongst the plans within the same scheme.
-
nfoStartDate: 27-Sep-2016
-
sebiCategory: Hybrid Fund
-
exitLoadShort: 1% < 1 year
-
cmotsGroupCode: MO33399
-
schemeName: Motilal Oswal Balanced Advantage Fund
-
fundCategoryCode: HF
-
schcode: DE
-
-
fundManager:
-
0:
-
designation: Fund Manager/Dealer
-
type: MF
-
picture: /content/dam/motilal-mf/fund-manager/mr-rakesh-shetty.png
-
dropdownField: MF
-
fundManagerName: Rakesh Shetty
-
description:
Mr. Rakesh Shetty has more than 13 years of overall experience and expertise in trading in equity, debt segment, Exchange Trade Fund’s management, Corporate Treasury and Banking. Prior to joining Motilal Oswal Asset Management Company Limited, he has worked with Company engaged in Capital Market Business wherein he was in charge of equity and debt ETFs, customized indices and has also been part of product development.
-
cfReferencePath: /content/dam/motilal-mf/content-fragment/fund-manager/rakesh-shetty
-
-
1:
-
designation: Vice President
-
type: MF
-
picture: /content/dam/motilal-mf/fund-manager/mr-atul-mehra.png
-
dropdownField: MF
-
fundManagerName: Atul Mehra
-
description:
Mr Atul Mehra is passionate about investing; and has been an investor since 13 years of age. He has over 15 years of professional work experience with last 10 years within Motilal Oswal Group, prior to which he worked with Edelweiss Capital for another 5 years. Academically, he is a CFA Charter holder and has completed the Chartered Financial Analyst (CFA) Program, from CFA Institute, Charlottesville, Virginia, USA and has specialization in Finance through BAF (Bachelor of Commerce in Accounting and Finance) from HR College, Mumbai and Post-Graduation in Commerce through M.Com (Masters in Commerce, Accountancy) from Mumbai University.
-
cfReferencePath: /content/dam/motilal-mf/content-fragment/fund-manager/atul-mehra
-
-
2:
-
designation: Fund Manager
-
type: MF
-
picture: /content/dam/motilal-mf/fund-manager/mr-swapnil-mayekar.png
-
dropdownField: MF
-
fundManagerName: Swapnil Mayekar
-
description:
Swapnil has over 12 years of experience in the fund management and product development.
Motilal Oswal Asset Management Company Ltd. from March 2010 onwards.
Business Standard, Research Associate from August 2005 to February 2010.
-
cfReferencePath: /content/dam/motilal-mf/content-fragment/fund-manager/swapnil-mayekar
-
-
3:
-
description:
Mr. Sandeep Jain is currently employed with MOAMC and has an overall experience of 18 years in research and fund management. His last stint was with Baroda BNP Paribas Mutual Fund as Fund Manager and Senior Research Analyst (BFSI Sector). Prior to that, he has worked with various companies viz., Aditya Birla Sun life Insurance, Sundaram Asset Management Company Limited, TATA Securities., IDBI Capital Markets & Securities Limited. Mr. Jain is a Chartered Accountant by qualification
-
designation: Fund Manager
-
dropdownField: MF
-
picture: /content/dam/motilal-mf/fund-manager/mr-sandeep-jain.png
-
fundManagerName: Sandeep Jain
-
cfReferencePath: /content/dam/motilal-mf/content-fragment/fund-manager/sandeep-jain
-
-
4:
-
designation: Executive Group Vice President
-
type: MF
-
picture: /content/dam/motilal-mf/fund-manager/mr-varun-sharma.png
-
dropdownField: MF
-
fundManagerName: Varun Sharma
-
description:
Mr. Varun Sharma, holds a PGDM from the Indian Institute of Management – Kolkata. He boasts an impressive career with over 15 years of extensive experience in Investment Management. Mr. Sharma’s professional journey includes significant tenures at esteemed organizations such as ICICI Securities and Franklin Templeton Asset Management Company. Prior to his current role at MOAMC, Mr. Sharma dedicated more than a decade to Franklin Templeton as a Fund Manager.
-
cfReferencePath: /content/dam/motilal-mf/content-fragment/fund-manager/varun-sharma
-
-
5:
-
description:
Mr. Ankit Agarwal brings over two decades of rich experience in the financial industry, spanning asset management, portfolio construction, equity research, and capital markets. His career reflects a deep understanding of global investment dynamics and a consistent track record of delivering strategic insights. He began his journey with UTI Asset Management Company, where he specialized in equity research across diverse sectors including healthcare, telecom, technology, and midcaps. His analytical rigor and sectoral expertise contributed significantly to investment decisions and fund performance. Mr. Agarwal further honed his skills at Barclays Wealth, where he provided tailored investment research and strategic advice to high-net-worth individuals, aligning portfolios with market trends and client goals. His global exposure includes pivotal roles at Lehman Brothers in London, BNP Paribas in Hong Kong, and D. E. Shaw, where he worked on proprietary trading systems. These international stints enriched his perspective on cross-border markets and advanced financial instruments. With a blend of domestic and international experience, Mr. Agarwal stands out as a seasoned professional with a nuanced approach to investment strategy and market analysis.
-
designation: Fund Manager
-
dropdownField: MF
-
picture: /content/dam/motilal-mf/fund-manager/mr-aliasgar-shakir.png
-
fundManagerName: Mr. Ankit Agarwal
-
cfReferencePath: /content/dam/motilal-mf/content-fragment/fund-manager/ankit-agarwal
-
-
Downloads
-
- Factsheet
-
- Presentation
-
- Brochures
-
- Scheme information document
-
- Forms
-
- Index Component
- portfolioUrl/content/dam/motilal-mf/sheets/fund-csvs/Month_End_Portfolio_March_2026/YO10.xlsx
- brochurepdf/content/dam/motilal-mf/downloads/mf/leafletsbrochures/2026/apr/Motilal Oswal Balanced Advantage Fund Product Note.pdf
- latestFactsheetPdf/content/dam/motilal-mf/downloads/mf/factsheet/2026/apr/Most-Factsheet-March-2026-Active.pdf
- presentationPdf/content/dam/motilal-mf/downloads/mf/presentations/2026/apr/Presentation Motilal Oswal Balanced Advantage Fund.pdf
- sidDocumentPdf/content/dam/motilal-mf/downloads/mf/sid/2025/nov/84244-sid_motilal-oswal-balanced-advantage-fund.pdf
- formPdf
Frequently Asked Questions
What is a Mutual Fund?
What does a Mutual Fund do with investor’s money?
What is the Regulatory Body for Mutual Funds?
Why should I choose to invest in a mutual fund?
What are the advantages of investing in a Mutual Fund?
How do mutual funds diversify their risks?
Can mutual funds be viewed as risk-free investments?
What are the risks involved in investing in mutual funds?
What are the different types of Mutual funds?
What are open-ended and closed-ended mutual funds?
What is NAV?
How much return can I expect by investing in mutual funds?
What is constant maturity structure?
Are there any assured returns?
What is tax treatment?
What are the types of returns one can expect from a Mutual Fund?
How do I track the performance of the Fund?
What is a load?
How does the concept of exit load work in case of unit redemptions?
Can an investor redeem part of the units?
What are the differences between close-ended mutual funds and ETFs?
Product Label
This product is suitable for investors who are seeking*
- Long term capital growth
- Investments in equity and equity related instruments of large cap stocks.
*Investors should consult their financial advisers if in doubt about whether the product is suitable for them.
-
productLabellingDescription:
This product is suitable for investors who are seeking
- Long term capital growth
- Investment in equity, derivatives and debt instruments
-
benchmarkreturns:
-
0:
- type: BM
- groupName: CRISIL Hybrid 35+65 - Aggressive Index (PRIMARY)
- latNavDate: 2026-03-31
- latnav: 19478.9399
- oneYear_Ret: -0.6215465702318013
- inception_Ret: -1.6132288979915255
- bmcode: 2055.0
-
1:
- type: BM
- groupName: CRISIL Hybrid 50+50 - Moderate Index (PRIMARY)
- latNavDate: 2026-03-31
- bmcode: 2085.0
-
2:
- type: BM
- groupName: Nifty 50 TRI (SECONDARY)
- latNavDate: 2026-03-31
- latnav: 33655.43
- oneYear_Ret: -3.989977771489084
- threeYear_Ret: 10.028662063667305
- fiveYear_Ret: 10.011430391484488
- inception_Ret: 11.72134958810258
- bmcode: 2006.0
-
-
schDetail
-
CMOTSAMCCode: 38442
-
dateOfAllotment: 2016-09-27
-
exitLoad:
1% - If redeemed on or before 365 days from the date of allotment. Nil - If redeemed after 365 days from thedate of allotment. Exit Load will be applicable on switchamongst the Schemes of MOMF. No Load shall be imposed for switching between Options within the Scheme. Further, it is clarified that there will be no exit load charged on a switch-out amongst the plans within the same scheme.
-
nfoStartDate: 27-Sep-2016
-
sebiCategory: Hybrid Fund
-
exitLoadShort: 1% < 1 year
-
cmotsGroupCode: MO33399
-
schemeName: Motilal Oswal Balanced Advantage Fund
-
fundCategoryCode: HF
-
schcode: DE
-
-
risk
- benchmarkRisk: High
- riskType: Very High
- Motilal Oswal Asset Allocation Passive Fund Conservative
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