UTI Balanced Advantage Fund Direct Growth

Hybrid
Dynamic Asset Allocation
Very High Risk
1M
6M
1Y
All
NAV: 18 Nov 2025
₹13.38
Rating
NA
Min. SIP amount
₹500
Fund size
₹3,160.92Cr

Return calculator

Monthly SIP
One-Time
₹5,000 per month
Over the past
Total investment of 0
Would have become (%)

Holdings (97)

NameSectorInstrumentAssets
FinancialEquity8.37%
FinancialEquity4.88%
SovereignGOI Sec4.72%
CommunicationEquity4.43%
EnergyEquity3.58%
UTI Floater Fund Direct - Growth
NAMutual Fund3.23%
TechnologyEquity3.21%
FinancialEquity2.99%
ConstructionEquity2.86%
FinancialEquity2.59%
GOI
SovereignGOI Sec2.45%
FinancialEquity2.39%
AutomobileEquity2.22%
TechnologyEquity2.01%
FinancialEquity1.79%
Indian Railway Finance Corporation Ltd.
FinancialNCD1.62%
Export-Import Bank Of India
FinancialNCD1.62%
LIC Housing Finance Ltd.
FinancialDebenture1.62%
REC Ltd.
FinancialDebenture1.61%
Consumer StaplesEquity1.45%
AutomobileEquity1.41%
ServicesEquity1.36%
Metals & MiningEquity1.31%
Bajaj Finance Ltd.
FinancialDebenture1.27%
TechnologyEquity1.21%
EnergyEquity1.20%
AutomobileEquity1.18%
Consumer DiscretionaryEquity1.14%
InsuranceEquity1.11%
ConstructionEquity1.08%
Capital GoodsEquity1.07%
Consumer StaplesEquity0.95%
AutomobileEquity0.83%
HealthcareEquity0.83%
Small Industries Devp. Bank of India Ltd.
FinancialDebenture0.81%
FinancialDebenture0.81%
Small Industries Devp. Bank of India Ltd.
FinancialBonds0.81%
Export-Import Bank Of India
FinancialDebenture0.81%
Small Industries Devp. Bank of India Ltd.
FinancialBonds0.81%
FinancialEquity0.81%
Export-Import Bank Of India
FinancialBonds0.80%
FinancialBonds0.80%
FinancialNCD0.80%
LIC Housing Finance Ltd.
FinancialNCD0.79%
HealthcareEquity0.75%
ServicesEquity0.74%
InsuranceEquity0.72%
TechnologyEquity0.66%
EnergyEquity0.59%
Metals & MiningEquity0.58%
Consumer DiscretionaryEquity0.57%
EnergyEquity0.56%
ServicesEquity0.49%
Consumer StaplesEquity0.48%
ServicesEquity0.46%
Consumer StaplesEquity0.44%
HealthcareEquity0.43%
ChemicalsEquity0.41%
ServicesEquity0.37%
Metals & MiningEquity0.33%
SovereignGOI Sec0.32%
HealthcareEquity0.32%
HDB Financial Services Ltd.
FinancialDebenture0.31%
InsuranceEquity0.31%
SKF India Ltd.
Capital GoodsEquity0.31%
HealthcareEquity0.30%
ConstructionEquity0.29%
HealthcareEquity0.29%
ChemicalsEquity0.27%
ChemicalsEquity0.25%
Consumer StaplesEquity0.23%
FinancialEquity0.23%
Consumer StaplesEquity0.18%
Consumer DiscretionaryEquity0.17%
Consumer StaplesEquity0.17%
Consumer StaplesEquity0.15%
Consumer DiscretionaryEquity0.14%
NAMutual Fund0.04%
NAMutual Fund0.04%
Bharat Petroleum Corporation Ltd.
EnergyFutures0.04%
Capital GoodsEquity0.02%
Capital GoodsEquity0.00%
AutomobileEquity0.00%
Tata Motors Ltd.
AutomobileEquity0.00%
ICICI Lombard General Insurance Company Ltd.
InsuranceFutures-0.07%
Titan Company Ltd.
Consumer DiscretionaryFutures-0.08%
Ultratech Cement Ltd.
ConstructionFutures-0.09%
ICICI Bank Ltd.
FinancialFutures-0.13%
Hindustan Unilever Ltd.
Consumer StaplesFutures-0.18%
Larsen & Toubro Ltd.
ConstructionFutures-0.20%
United Spirits Ltd.
Consumer StaplesFutures-0.23%
Dabur India Ltd.
Consumer StaplesFutures-0.23%
Reliance Industries Ltd.
EnergyFutures-0.24%
Eternal Ltd.
ServicesFutures-0.36%
Axis Bank Ltd.
FinancialFutures-0.64%
Bharat Electronics Ltd.
Capital GoodsFutures-0.89%
Bharti Airtel Ltd.
CommunicationFutures-0.96%
See All

Minimum investment amounts

Min. for 1st investment₹5,000
Min. for 2nd investment onwards₹1,000
Min. for SIP₹500

Returns and rankings

Category: Hybrid Dynamic Asset Allocation
Absolute returns
3M6M1YAll
Fund returns4.0%4.9%10.2%33.8%
Category averageNANA7.0%NA
Rank with in category14217NA
Understand terms

Peer Comparison

Hybrid, Dynamic Asset Allocation fundsRating1Y3YFund Size(Cr)
5
9.5%19.1%1,06,493.55
5
10.2%15.2%38,628.37
4
12.1%14.2%68,449.94
4
10.3%13.9%3,635.61
4
10.0%13.8%9,662.22

Expense ratio, exit load and tax

Expense ratio: 0.51%

Inclusive of GST

Exit load

Exit load of 1%, if redeemed within 90 days.

Stamp duty

0.005% (from July 1st, 2020)

Tax implication

If you redeem within one year, returns are taxed at 20%. If you redeem after one year, returns exceeding Rs 1.25 lakh in a financial year are taxed at 12.5%.

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Check past data

Fund management

Anurag Mittal
Jul 2023 - Present
View details

Education
Mr. Mittal is B.Com. (Hons), CA and M.Sc. in Accounting and Finance (specialization in Finance) from London School of Economics & Political Science.
Experience
Prior to joining UTI Mutual Fund, he worked with IDFC AMC, HDFC AMC ( Sept. 2012 - Oct. 2015), Axis AMC (July 2009 - Sept. 2012), ICICI Prudential Life Insurance Company Ltd. as Credit Research Analyst (2008-2009) and with Bank of America in Corporate Banking (2006-2008).
Also manages these schemes

Sachin Trivedi
Jul 2023 - Present
View details

Deepesh Agarwal
Jul 2023 - Present
View details

Fund house & investment objective

Fund house contact details

Address
UTI Tower, Plot C-1, GN Block,Banrda Kurla Complex, Bandra (East) Mumbai 400051
Phone
0263 2296993
Launch Date
14 Nov 2002
E-mail
NA
UTI Mutual Fund
Asset Management Company
Custodian
NA
Registrar & Transfer Agent
KFin Tech
Address
Karvy House, No. 46, 8-2-609/K, Avenue 4, Street No.1 Banjara Hills,

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