Mirae Asset Mutual Fund

Mirae Asset Balanced Advantage Fund Direct Plan- Growth

Mirae Asset Mutual Fund

Expense Ratio: 0.74
Risk: Very High
Hybrid Scheme - Dynamic Asset Allocation or Balanced Advantage
Plan: Direct
Benchmark: NIFTY 50 Hybrid Composite Debt 50:50 Index
Inception: 21-07-2022
Exit Load: Nil
Fund Size:₹2,013.31 Cr

Performance

1Y
Fund4.08%
Cat. Avg.2.15%
2Y
Fund5.84%
Cat. Avg.3.47%
3Y
Fund11.31%
Cat. Avg.10.84%
5Y
FundN/A
Cat. Avg.10.10%
10Y
FundN/A
Cat. Avg.11.12%
SI
Fund11.61%
Cat. Avg.9.88%

Fund Facts

Beta

1

Std Dev

6.90%

Taxation

Within 1 Year (STCG (Short Term)):20%
After 1 Year (LTCG (Long Term)):12.5%

*Tax rates as per Finance Act 2024. Surcharge & cess may apply.

Allocation

Visualizing Fund's Exposure

Portfolio Holdings

Detailed breakdown of instruments.

Instrument
Val (Cr) % Assets
1HDFC Bank Ltd.118.985.93%
27.18% Government of India (MD 14/08/2033)72.113.59%
3State Bank of India70.853.53%
4TREPS64.423.21%
5ICICI Bank Ltd.61.203.05%
66.79% Government of India (MD 07/10/2034)57.952.89%
7Bharti Airtel Ltd.46.832.33%
8Infosys Ltd.45.992.29%
9Reliance Industries Ltd.45.852.28%
10Mahindra & Mahindra Ltd.39.991.99%

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SIP Returns

7th
PeriodSIP DateInv(₹)Val(₹)Abs(%)XIRR
1Y07 Aug, 256000061683+2.8%+5.9%
2Y07 Aug, 241.20 L.1.28 L.+6.6%+6.6%
3Y07 Aug, 231.80 L.2.03 L.+12.9%+8.4%
SI07 Sep, 222.35 L.2.85 L.+21.3%+10.1%

Lumpsum Returns

PeriodInv DateInv(₹)Val(₹)Abs(%)CAGR
1Y16 Jul, 251 L.1.04 L.+4.1%+4.1%
2Y16 Jul, 241 L.1.12 L.+12.0%+5.8%
3Y17 Jul, 231 L.1.38 L.+37.5%+11.2%
SI12 Aug, 221 L.1.54 L.+53.9%+11.6%

SIP Planner

Visualize how small monthly investments grow over time.

Years
%
%

Beat inflation and compound wealth faster with an annual step-up.

%
%
Future Value

₹23.80L

With SIP Amount ₹5,000
Total Invested
₹9.00L
Total Gained
₹14.80L
SIP Invested₹9.00L
SIP Gain₹14.80L
Lumpsum Inv.₹0
Lumpsum Gain₹0

Reality Check: Your future value will be today's ₹8.62L at inflation rate 7%

Tip: You can set a Goal first in the Goal Planner to calculate SIP targets adjusted for inflation.

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