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HDFC Balanced Advantage Fund (G) - Mutual Fund Analysis | Complete Fund Review with Performance, Portfolio, and Risk Analysis

Comprehensive analysis of HDFC Balanced Advantage Fund (G) (598) providing detailed insights into fund performance, portfolio holdings, risk metrics, expense ratios, and investment recommendations.

HDFC Balanced Advantage Fund (G)

HDFC Asset Management Company Ltd

Aims to generate long term capital appreciation from a portfolio that is invested predominantly in equity and equity related instruments.

Hybrid
Dynamic Asset Allocation or Balanced Advantage
OPEN
Regular Plan
Latest NAV
₹532.22
as of 15 Dec 2025
3Y Returns
+18.40%
AUM
₹1.0L Cr
Expense Ratio
1.34%

Fund Health Radar

A comprehensive at-a-glance view of key mutual fund health indicatorsHover or click any card to view detailed metrics

Performance

Strong Returns

Click for details

Risk

High Risk

Click for details

Expenses

Moderate Expenses

Click for details

Portfolio Mix

Diversified

Click for details

Management

Experienced Team

Click for details

Quality Score

Average Quality

Click for details
Last updated: March 14, 2026

HDFC Balanced Advantage Fund (G) - NAV History (1Y)

₹532.22-0.05(-0.01%)

Showing 1Y NAV history

Returns Overview

Performance across different time periods

Entry Point Analysis

Neutral Entry Point

53
out of 100

Fund shows mixed signals. Consider your investment timeline and risk tolerance.

Review detailed analysis and consider dollar-cost averaging through SIPs.

Neutral Entry Point

Fund shows mixed signals. Consider your investment timeline and risk tolerance.

53
out of 100

Review detailed analysis and consider dollar-cost averaging through SIPs.

Key Factors Analysis

Alpha Generation

Outperformance vs benchmark

50
Management Stability

Fund manager experience

100
Long-term Track Record

Historical performance consistency

60
Equity Exposure

Market exposure level

67
1-Year Returns

Recent performance momentum

33
Fund Size

Assets under management

100
Cost Efficiency

Fund management costs

35
Risk Assessment

Risk-adjusted returns

20

Investment Timing Insights

Market Position
Neutral
Risk Level
Very High
Investment Style
SIP Preferred
Investment Calculator

See how your money can grow and compare with popular investment options

₹10,000
every month
₹500₹1,00,000
Final Value After 10 Years
₹0
0.0% Total Returns
10
Years
1 Year30 Years

Your Investment

Total Invested₹0
Expected Profit₹0

Compare With Popular Options

Savings A/c
3%
PPF
7.1%
Gold
8%
Nifty 50
12%
HDFC Balanced A...
22.52%

Disclaimer: Returns are illustrative and based on assumed rates. Mutual fund investments are subject to market risk. Please read scheme documents carefully.

Risk Analysis

Risk Metrics (3 Years)

Standard Deviation
2.64%
Sharpe Ratio
1.46
Beta
0.68
Alpha
8.77

Risk Level

Very High
Very Low
Low
Mod. Low
Moderate
Mod. High
High
Very High
Low RiskHigh Risk
Top Holdings
ICICI Bank Ltd
4.03%
Banks
Reliance Industries Ltd
3.22%
Refineries
Bharti Airtel Ltd
3.15%
Telecom-Service
Infosys Ltd
2.73%
IT - Software
Larsen & Toubro Ltd
2.35%
Infrastructure Developers & Operators
GSEC2033
2.35%
Govt. Securities
NTPC Ltd
2.25%
Power Generation & Distribution
Axis Bank Ltd
2.08%
Banks
TREPS
2.05%
Debt Others
Coal India Ltd
1.94%
Mining & Mineral products
CompanySector% Assets
ICICI Bank LtdBanks4.03%
Reliance Industries LtdRefineries3.22%
Bharti Airtel LtdTelecom-Service3.15%
Infosys LtdIT - Software2.73%
Larsen & Toubro LtdInfrastructure Developers & Operators2.35%
GSEC2033Govt. Securities2.35%
NTPC LtdPower Generation & Distribution2.25%
Axis Bank LtdBanks2.08%
TREPSDebt Others2.05%
Coal India LtdMining & Mineral products1.94%
Sector Allocation

Sector Breakdown

Debt
31.2%
Banks
17.3%
IT-Software
6.3%
Petroleum Products
4.8%
Pharmaceuticals & Biotech
4.1%
Power
3.9%
Finance
3.8%
Construction
3.7%
Fund vs Category Performance

Compare against Dynamic Asset Allocation or Balanced Advantage category average

1M
0.38%
vs 0.62%
-0.24%
3M
0.01%
vs 1.33%
-1.32%
6M
9.84%
vs 9.87%
-0.03%
3Y
18.40%
vs 12.16%
+6.24%
5Y
22.52%
vs 12.81%
+9.71%

Performance Summary

This comparison shows how the fund performs relative to the Dynamic Asset Allocation or Balanced Advantage category average. Positive values indicate outperformance, while negative values show underperformance.

Peer Comparison

Compare with similar funds in Dynamic Asset Allocation or Balanced Advantage category

HDFC Balanced Advantage Fund (G) vs Category Average

3M
0.01%
-1.75%
6M
9.84%
-0.75%
3Y
18.40%
+4.66%

Similar Funds Comparison

HDFC Balanced Advantage Fund - Direct (G)
NAV: ₹570.48
3M:0.16%
6M:10.16%
3Y:19.14%
Nippon India Balanced Advantage Fund - Direct (G)
NAV: ₹205.14
3M:1.82%
6M:10.30%
3Y:13.34%
Nippon India Balanced Advantage Fund (G)
NAV: ₹180.58
3M:1.51%
6M:9.65%
3Y:11.97%
Nippon India Balanced Advantage Fund (Bonus)
NAV: ₹180.58
3M:1.51%
6M:9.65%
3Y:11.97%
Aditya Birla SL Balanced Advantage Fund-Dir (G)
NAV: ₹123.18
3M:1.72%
6M:12.12%
3Y:13.97%
Aditya Birla SL Balanced Advantage Fund (G)
NAV: ₹108.23
3M:1.43%
6M:11.51%
3Y:12.67%
ICICI Pru Balanced Advantage Fund - Dir (G)
NAV: ₹85.18
3M:2.89%
6M:11.30%
3Y:13.69%
ICICI Pru Balanced Advantage Fund (G)
NAV: ₹76.24
3M:2.73%
6M:10.98%
3Y:12.99%
Invesco India Balanced Advantage Fund-Direct (G)
NAV: ₹64.80
3M:2.28%
6M:10.04%
3Y:14.57%
Edelweiss Balanced Advantage Fund - Dir (G)
NAV: ₹59.14
3M:1.54%
6M:10.17%
3Y:13.11%
Fund NameNAV3M6M3Y
HDFC Balanced Advantage Fund - Direct (G)₹570.480.16%10.16%19.14%
Nippon India Balanced Advantage Fund - Direct (G)₹205.141.82%10.30%13.34%
Nippon India Balanced Advantage Fund (G)₹180.581.51%9.65%11.97%
Nippon India Balanced Advantage Fund (Bonus)₹180.581.51%9.65%11.97%
Aditya Birla SL Balanced Advantage Fund-Dir (G)₹123.181.72%12.12%13.97%
Aditya Birla SL Balanced Advantage Fund (G)₹108.231.43%11.51%12.67%
ICICI Pru Balanced Advantage Fund - Dir (G)₹85.182.89%11.30%13.69%
ICICI Pru Balanced Advantage Fund (G)₹76.242.73%10.98%12.99%
Invesco India Balanced Advantage Fund-Direct (G)₹64.802.28%10.04%14.57%
Edelweiss Balanced Advantage Fund - Dir (G)₹59.141.54%10.17%13.11%

Category Average Returns

3M
1.76%
6M
10.59%
3Y
13.74%
Fund Manager Details

Gopal Agrawal

Lead Fund Manager
26+ Years Experience

A seasoned investment professional with over 26 years of experience in equity research and fund management. Known for consistent performance and a disciplined investment approach focused on quality growth stocks.

26+
Years Experience
Exit Load
Exit Load Policy
Fund Age
26 Years
Since inception
Investment Options
✓ SIP Available
✓ SWP Available
✓ STP Available
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