
AXIS Balanced Advantage Fund (G)
Dynamic Asset Allocation or Balanced AdvantageNAV
20.79(-0.76%)Fund Size (CR)
₹3,431.21Expense Ratio
1.93Scheme Type
Active FundValue Research
Min. investment
₹100Minimum Additional Investment
₹100Minimum SIP Investment
₹10Minimum Withdrawal
₹1,000Exit Load
0%Return Since Launch
9.60%
- 3M
- 6M
- 1Y
- 3Y
- All
Basic Details
Scheme Manager
Jayesh Sundar
Bench Mark
Nifty 50 Hybrid Composite Debt 50:50 Index
Type
OPEN
Lumpsum Returns
Period Invested For | ₹10,000 Invested on | Latest Value | Absolute Returns | Annualised Returns | Category Avg | Rank within Category |
---|---|---|---|---|---|---|
1 Week | 18 August 2025 | 10052.78 | 0.53% | - | 0.45% | 43/147 |
1 Month | 25 July 2025 | 10043.14 | 0.43% | - | 0.33% | 50/147 |
3 Month | 23 May 2025 | 10062.44 | 0.62% | - | 1.68% | 120/147 |
6 Month | 25 February 2025 | 10710.63 | 7.11% | - | 8.91% | 127/145 |
1 Year | 23 August 2024 | 10397.02 | 3.97% | 3.97% | 1.92% | 55/145 |
3 Year | 25 August 2022 | 14691.44 | 46.91% | 13.67% | 12.56% | 27/111 |
5 Year | 25 August 2020 | 18539.82 | 85.40% | 13.13% | 12.93% | 41/87 |
Since Inception | 1 August 2017 | 20950.00 | 109.50% | 9.60% | 10.82% | 99/147 |
Note: Lumpsum Returns since Inception Date.
SIP Returns
Period Invested For | ₹10,000 Invested on | Investments | Latest Value | Absolute Returns | Annualised Returns |
---|---|---|---|---|---|
1 Year | 2 September 2024 | 1,20,000 | 122355.26 | 1.96% | 1.96% |
3 Year | 1 September 2022 | 3,60,000 | 436458.86 | 21.24% | 6.63% |
5 Year | 1 September 2020 | 6,00,000 | 814555.78 | 35.76% | 6.31% |
10 Year | - | - | - | - | - |
Note: SIP Returns since Inception Date.
Tax Treatment
If sold after 1 year from purchase date, long term capital gain tax will be applicable. Current tax rate is 10%, if your total long term capital gain exceeds 1 lakh. Any cess/surcharge is not included.If sold before 1 year from purchase date, short term capital gain tax will be applicable. Current tax rate is 15%. Any cess/surcharge is not included in the 15%.
Mutual Funds Calculator
- Investment type
- Scheme based
- SIP
- Lumpsum
Invested Amount
₹25,000
Estimated Returns
₹19,059
76%
Returns
Future value of your investment
₹44,059
Risk Ratios
2.19%
Standard Deviation
0.60%
Beta
1.06%
Sharpe Ratio
0.00%
Treynor's Ratio
3.92%
Jension's Alpha
Asset Allocation
Sector Allocation
Top 10 stock holding in portfolio
Stock Invested in | % of Total Holdings | Quantity | Value (Cr) | Asset Type | Segment |
---|---|---|---|---|---|
Reliance Industr | 5.82% | 1436051 | 199.64 | Equity | Refineries |
HDFC Bank | 5.73% | 974955 | 196.77 | Equity | Banks |
ICICI Bank | 4.25% | 983319 | 145.67 | Equity | Banks |
SBI | 4.03% | 1734805 | 138.19 | Equity | Banks |
Infosys | 3.20% | 726944 | 109.70 | Equity | IT - Software |
M & M | 2.64% | 283027 | 90.66 | Equity | Automobile |
Larsen & Toubro | 2.40% | 226213 | 82.26 | Equity | Infrastructure Developers & Operators |
Bharti Airtel | 2.20% | 393859 | 75.40 | Equity | Telecomm-Service |
Bajaj Finance | 1.98% | 771940 | 68.02 | Equity | Finance |
TCS | 1.61% | 182466 | 55.41 | Equity | IT - Software |
Peer Comparison
Scheme Name | Value Research | Asset Size (Cr) | 1M | 3M | 6M | 1Y | 3Y |
---|---|---|---|---|---|---|---|
WhiteOak Capital Balanced Advantage Fund - Dir (G) | 1737.90 | 0.48% | 2.21% | 11.12% | 8.24% | - | |
ICICI Pru Balanced Advantage Fund - Dir (IDCW-M) | 64964.03 | 1.67% | 3.08% | 10.54% | 7.47% | 14.13% | |
ICICI Pru Balanced Advantage Fund - Dir (G) | 64964.03 | 1.67% | 3.07% | 10.51% | 7.47% | 14.00% | |
ICICI Pru Balanced Advantage Fund - Dir (IDCW) | 64964.03 | 1.67% | 3.07% | 10.53% | 7.46% | 14.00% |
List of Schemes under Axis Mutual Fund
News
Axis Mutual Fund Change in Minimum Application Amount
Axis Mutual Fund announces that the Minimum Application Amount for Axis Liquid Fund stands modified as under with effect from August 25, 2025.Scheme Name(s) Existing Provisions Revised provisions effective from August 25, 2025 Axis Liquid Fund
Axis Overnight FundRs. 500 and in multiples of Re. 1/- thereafter Rs. 100 and in multiples of Re. 1/- thereafter Powered by Capital Market - Live News
Axis Mutual Fund announces change in fund manager under its scheme
Axis Mutual Fund has announced change in fund manager under the following scheme, With effect from 04 August 2025Change in Fund Manager:
Name of the Scheme Existing Fund Manager(s) Proposed Fund Manager(s) with effect from August 04, 2025 Axis ESG Integration Strategy Fund Mr. Vishal Agarwal
Mr. Hitesh Das
Ms. Krishnaa N (For Foreign Securities)Mr. Vishal Agarwal
Ms. Krishnaa N (For Foreign Securities)Powered by Capital Market - Live News
Axis Mutual Fund announces change in scheme name
Axis Mutual Fund has announced change in scheme name under the following scheme, With effect from 17 July 2025.Change in the name of the Scheme:
Existing Scheme Name Revised Scheme Name Axis Multi Factor FoF Passive Axis Multi Factor Passive FoF Powered by Capital Market - Live News
Fund House Details & Investment Objective
Date of Incorporation
11 July 2017
Total AUM (Cr)
₹3431.21
AXIS Balanced Advantage Fund (G) is an Dynamic Asset Allocation or Balanced Advantage-oriented fund from the renowned AMC, Axis Mutual Fund. Launched in 11 July 2017, this fund is managed by Jayesh Sundar. With assets under management (AUM) worth ₹3,431.21 (Cr), as of 26 August 2025, AXIS Balanced Advantage Fund (G) is categorized as a Dynamic Asset Allocation or Balanced Advantage within its segment. The fund has generated a return of 9.60% since its launch.
The current NAV of AXIS Balanced Advantage Fund (G) is ₹20.79, as on 26 August 2025. The fund's benchmark index is Nifty 50 Hybrid Composite Debt 50:50 Index. You can invest in AXIS Balanced Advantage Fund (G) via both lumpsum and SIP modes. The minimum SIP amount in the fund is ₹10 while the minimum lumpsum investment is ₹100.
Being an open-ended fund, you can exit the fund anytime subject to applicable exit loads:
If redeemed/swich out within 12 months from the date of allotment, - For 10% of investments : Nil - For remaining investments : 1% NIL - If redeemed/switch out after 12 months from the date of allotment. The fund has generated 13.67% and 13.13% CAGR in the last 3 and 5 years respectively.
The fund aims to provide long-term capital appreciation and growth, by investing in a mix of financial instruments 68.09% in Equity, 28.67% in Debt and 3.35% in cash and cash equivalents.
The top 5 sectors the fund invests in are: 28.67% in Debt, 16.81% in Cash & Others, 16.03% in Banks, 6.56% in Petroleum Products, 6.42% in IT-Software