ICICI Prudential Balanced Advantage Fund

Dynamic asset allocation

No. of people currently viewing this page 0

  • cagr
  • NAV()
    As on Aug 11, 2023
  • AUM
    47661.75 CR
  • age
    16 Years 7 Months
  • Indicative Investment Horizon
    3 years and more
    Benchmark
    CRISIL Hybrid 50+50 - Moderate Index TRI
    Nifty 50 Index TRI (Additional Benchmark)
  • Suitable for

    This scheme is suitable for investors who aim to benefit across market conditions by dynamically managing equity and debt allocation and achieve goals like

  • Investment Style Box
  • Investment Style Box

Show More

Jump To -

Investment Objective

To provide capital appreciation and income distribution to the investors by using equity derivatives strategies, arbitrage opportunities and pure equity investments.

Fund Manager

Sankaran Naren

33.6
Years of Experience
14
Funds managed in total

Rajat Chandak

15.2
Years of Experience
4
Funds managed in total

Ihab Dalwai

12.3
Years of Experience
4
Funds managed in total

Manish Banthia

20.1
Years of Experience
23
Funds managed in total

Ritesh Lunawat

9.8
Years of Experience
11
Funds managed in total

Sri Sharma

6.6
Years of Experience
6
Funds managed in total
Key Features
Scheme Description An open ended dynamic asset allocation fund
Scheme Options Growth and IDCW (IDCW Payout***/Reinvestment available, Frequencies -Monthly)
Minimum Purchase Application Amount 500 (plus in multiples of Re.1)
Minimum additional investment 100/- (plus in multiples of Re.1/-)
Entry Load Not Applicable.
Exit Load NIL If units purchased or switched in from another scheme of the Fund are redeemed or switched out upto 30% of the units (the limit) purchased or switched within 1 year from the date of allotment.
Minimum Redemption Amount Any Amount
Indicative Investment Horizon 3 years and more
Systematic Transfer Plan Daily Frequency: 250/- and in multiples of 1/- Weekly, Monthly and Quarterly Frequency: 1,000/- and in multiples of 1/-

SIP

  • Daily, Weekly, Fortnightly & Monthly Frequency: 100/- and in multiple of 1/-
  • Quarterly Frequency: 5,000/- and in multiple of 1/-

SWP

  • Any Amount
Scheme options
ICICI Prudential Balanced Advantage Fund - Direct Plan - Growth
ICICI Prudential Balanced Advantage Fund - Monthly Dividend Payout
ICICI Prudential Balanced Advantage Fund - Growth
ICICI Prudential Balanced Advantage Fund - Quarterly Dividend
ICICI Prudential Balanced Advantage Fund - Monthly Dividend
ICICI Prudential Balanced Advantage Fund - Direct Plan - Monthly Dividend
ICICI Prudential Balanced Advantage Fund - Direct Plan - Quarterly Dividend
ICICI Prudential Balanced Advantage Fund - Dividend
ICICI Prudential Balanced Advantage Fund - Direct Plan - Dividend
ICICI Prudential Balanced Advantage Fund - Direct Plan - Monthly Dividend Payout
Quantitative Indicators
Equity Quants
Average P/BV 5.60
Average P/E 26.95
Average Dividend Yield 1.14
Combined Annual Portfolio Turnover Ratio 4.69 times
Net Equity 40.35
Annual Portfolio Turnover Ratio Equity - 0.18 times, Others (Debt and Derivatives) - 4.51 times
Portfolio Beta 0.73
R squared 0.80
Sharpe Ratio 1.35
Std Dev(Annualised) 6.32
Benchmark Std Dev(Annualised) 7.78
Debt Quants
Average Maturity 5.39
Modified Duration 0.98
Yield to Maturity 7.75

Other Links

Liquid ETF constituents

{{FundDataDetailsNAME}}

{{FundDataDetailsNAME}}
{{FundDataDetailsNAME2}}
{{FundDataDetailsNAME3}}

Total Expense Ratio: IPBAF: 1.53% p. a. IPBAF Direct Plan : 0.91% p. a.
Data as on {{lastDayMonth}}. For daily TER, please refer the TER in the statutory disclosure section on our website

This product is suitable for Investors who are seeking*:

  • Long term wealth creation solution
  • An equity fund that aims for growth by investing in equity and derivatives.

*Investors should consult their financial distributors if in doubt about whether the product is suitable for them.

Benchmark - (CRISIL Hybrid 50+50 - Moderate Index)

*Investors should consult their financial distributors if in doubt about whether the product is suitable for them.

For more details about the scheme, view our detailed Factsheet here

Asset Allocation

Data not available

Top 5 Holdings

Data not available

Sector Allocation

Data not available

Debt & Debt Instruments

Credit Rating Profile

Data not available

Instrument Break Up

Data not available

Returns

As on Date : {{Returns.date}}

Data not available

Cumulative Returns

The Value of
of
invested
would now be {{ReturnAmount | rounded | ifEmpty:'0'}}

Data not available

{{AMFIPerformance[0].R0C0}}

{{AMFIPerformance[0].R1C0}} {{AMFIPerformance[0].R1C1}} {{AMFIPerformance[0].R1C2}} {{AMFIPerformance[0].R1C3}} {{AMFIPerformance[0].R1C4}} {{AMFIPerformance[0].R1C5}} {{AMFIPerformance[0].R1C6}} {{AMFIPerformance[0].R1C7}}
{{AMFIPerformance[0].R2C0}} {{AMFIPerformance[0].R2C1}}
{{AMFIPerformance[0].R2C0}} {{AMFIPerformance[0].R2C1}}
{{AMFIPerformance[0].R2C2}} {{AMFIPerformance[0].R2C3}}
{{AMFIPerformance[0].R2C4}} {{AMFIPerformance[0].R2C5}}
{{AMFIPerformance[0].R2C6}} {{AMFIPerformance[0].R2C7}}
{{AMFIPerformance[0].R2C8}} {{AMFIPerformance[0].R2C9}}
{{AMFIPerformance[0].R2C10}} {{AMFIPerformance[0].R2C11}}
{{AMFIPerformance[0].R3C0}}
{{AMFIPerformance[0].R3C1 | rounded | ifEmpty:'0'}}
{{AMFIPerformance[0].R3C2 | rounded | ifEmpty:'0'}}
{{AMFIPerformance[0].R3C3 | rounded | ifEmpty:'0'}}
{{AMFIPerformance[0].R3C4 | rounded | ifEmpty:'0'}} {{AMFIPerformance[0].R3C5 | rounded | ifEmpty:'0'}}
{{AMFIPerformance[0].R3C6 | rounded | ifEmpty:'0'}} {{AMFIPerformance[0].R3C7 | rounded | ifEmpty:'0'}}
{{AMFIPerformance[0].R3C8 | rounded | ifEmpty:'0'}} {{AMFIPerformance[0].R3C9 | rounded | ifEmpty:'0'}}
{{AMFIPerformance[0].R3C10 | rounded | ifEmpty:'0'}} {{AMFIPerformance[0].R3C11 | rounded | ifEmpty:'0'}}
{{AMFIPerformance[0].R4C0}} {{AMFIPerformance[0].R4C1 | rounded | ifEmpty:'0'}}
{{AMFIPerformance[0].R4C2 | rounded | ifEmpty:'0'}}
{{AMFIPerformance[0].R4C3 | rounded | ifEmpty:'0'}}
{{AMFIPerformance[0].R4C4 | rounded | ifEmpty:'0'}} {{AMFIPerformance[0].R4C5 | rounded | ifEmpty:'0'}}
{{AMFIPerformance[0].R4C6 | rounded | ifEmpty:'0'}} {{AMFIPerformance[0].R4C7 | rounded | ifEmpty:'0'}}
{{AMFIPerformance[0].R4C8 | rounded | ifEmpty:'0'}} {{AMFIPerformance[0].R4C9 | rounded | ifEmpty:'0'}}
{{AMFIPerformance[0].R4C10 | rounded | ifEmpty:'0'}} {{AMFIPerformance[0].R4C11 | rounded | ifEmpty:'0'}}
{{AMFIPerformance[0].R5C0}} {{AMFIPerformance[0].R5C1 | rounded | ifEmpty:'0'}}
{{AMFIPerformance[0].R5C2 | rounded | ifEmpty:'0'}}
{{AMFIPerformance[0].R5C3 | rounded | ifEmpty:'0'}}
{{AMFIPerformance[0].R5C4 | rounded | ifEmpty:'0'}} {{AMFIPerformance[0].R5C5 | rounded | ifEmpty:'0'}}
{{AMFIPerformance[0].R5C6 | rounded | ifEmpty:'0'}} {{AMFIPerformance[0].R5C7 | rounded | ifEmpty:'0'}}
{{AMFIPerformance[0].R5C8 | rounded | ifEmpty:'0'}} {{AMFIPerformance[0].R5C9 | rounded | ifEmpty:'0'}}
{{AMFIPerformance[0].R5C10 | rounded | ifEmpty:'0'}} {{AMFIPerformance[0].R5C11 | rounded | ifEmpty:'0'}}
NAV ( ) Per Unit
{{NAVPerUnit}}
{{AMFIPerformance[0].R7C1 | ifEmpty:'0'}} {{AMFIPerformance[0].R7C2 | ifEmpty:'0'}} {{AMFIPerformance[0].R7C3 | ifEmpty:'0'}} {{AMFIPerformance[0].R7C4 | ifEmpty:'0'}} {{AMFIPerformance[0].R7C5 | ifEmpty:'0'}} {{AMFIPerformance[0].R7C6 | ifEmpty:'0'}} {{AMFIPerformance[0].R7C7 | ifEmpty:'0'}}

{{AMFIPerformance[0].Note1}}

Know more about ICICI Prudential Balanced Advantage Fund

Factsheet

ICICI Prudential Balanced Advantage Fund

SID & KIM

SID_ICICI Prudential Balanced Advantage Fund

KIM_ICICI Prudential Balanced Advantage Fund

Additional documents

ICICIPrudential_BAFPresentation_Distributor_Dec2021

ICICI Prudential Balanced Advantage Fund

Historical Documents

Video

f

Methodology Links -{{Mothodology}}