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Summary Info
Fund Name Mirae Asset Mutual Fund
Scheme Name Mirae Asset Balanced Advantage Fund (IDCW)
AMC Mirae Asset Mutual Fund
Type Open
Category Hybrid - Equity Oriented
Launch Date 21-Jul-22
Fund Manager Harshad Borawake
Net Assets ()Cr 2,053.09
NAV Graph
  One Month   Three Month   Six Month   One Year   Three Year   Five Year   Since INC
Latest Payouts
Dividends Bonus
Ratio 11.40000.0000 0.0
Date 13-Feb-26 0.0
Performance(%)
1 Week[%] 1 Month[%] 3 Month[%] 6 Month[%] 1 Year[%] 3 Year[%] 5 Year[%] Since INC[%]
Scheme Return -1.32 -5.40 -5.69 -2.58 3.71 11.02 - 9.13
Category Avg -1.71 -7.01 -7.98 -4.89 2.88 11.88 10.53 10.19
Category Best 0.78 -1.88 0.20 9.28 22.55 23.47 24.71 30.94
Category Worst -58.05 -59.71 -60.09 -59.42 -56.74 -17.29 -8.38 -5.27
Holdings
Company Name No of Shares Market Value Hold %
HDFC Bank 1,345,364 119.43 5.82
SBI 560,224 67.32 3.28
ICICI Bank 451,673 62.28 3.03
Bharti Airtel 327,887 61.62 3.00
Reliance Industr 328,584 45.80 2.23
M & M 116,517 39.59 1.93
Larsen & Toubro 90,820 38.86 1.89
Infosys 281,728 36.63 1.78
Axis Bank 250,300 34.64 1.69
Shriram Finance 230,512 24.88 1.21
NTPC 649,338 24.80 1.21
TCS 93,150 24.57 1.20
Tata Steel 1,127,725 23.95 1.17
SBI Life Insuran 103,341 21.05 1.03
IndusInd Bank 218,704 20.92 1.02
Ambuja Cements 416,849 20.86 1.02
ITC 613,637 19.24 0.94
Kotak Mah. Bank 458,585 19.04 0.93
Vedanta 264,987 19.04 0.93
Hindalco Inds. 200,377 18.53 0.90
Tata Motors PVeh 480,904 18.40 0.90
Sun Pharma.Inds. 99,027 17.20 0.84
TVS Motor Co. 42,662 16.51 0.80
Maruti Suzuki 10,580 15.72 0.77
Eternal 616,128 15.18 0.74
Adani Ports 96,593 14.69 0.72
Glenmark Pharma. 64,064 13.69 0.67
LG Electronics 85,736 13.62 0.66
Interglobe Aviat 28,179 13.60 0.66
O N G C 479,668 13.42 0.65
Multi Comm. Exc. 54,583 13.34 0.65
Varun Beverages 289,228 13.06 0.64
Laurus Labs 119,705 12.88 0.63
Bajaj Finance 128,330 12.78 0.62
Jindal Steel 102,500 12.75 0.62
Coal India 291,600 12.56 0.61
KFin Technolog. 130,829 12.52 0.61
Avenue Super. 32,247 12.41 0.60
TD Power Systems 136,209 12.30 0.60
Titan Company 27,325 11.82 0.58
Schaeffler India 26,639 11.61 0.57
Bharat Electron 256,326 11.40 0.56
JSW Steel 89,100 11.27 0.55
Aurobindo Pharma 87,326 10.66 0.52
Craftsman Auto 13,710 10.32 0.50
Century Plyboard 139,799 10.28 0.50
Divi's Lab. 15,153 9.71 0.47
Power Fin.Corpn. 221,972 9.19 0.45
JSW Energy 175,156 8.54 0.42
B P C L 221,264 8.53 0.42
HDFC AMC 31,500 8.50 0.41
Godrej Consumer 68,386 8.33 0.41
Indus Towers 179,719 8.18 0.40
BSE 30,000 8.12 0.40
Sagility 2,032,431 8.04 0.39
OneSource Speci. 59,334 7.99 0.39
Canara Bank 486,000 7.65 0.37
Krishna Institu. 98,988 7.38 0.36
J K Cements 12,800 7.24 0.35
Vishal Mega Mart 584,130 6.88 0.34
Zensar Tech. 119,739 6.76 0.33
A B B 11,125 6.76 0.33
International Ge 202,438 6.68 0.33
Federal Bank 220,000 6.60 0.32
Brigade Enterpr. 94,696 6.57 0.32
Atul 9,724 6.49 0.32
Sai Life 65,000 6.49 0.32
J B Chemicals & 31,038 6.37 0.31
UltraTech Cem. 5,009 6.35 0.31
B H E L 234,375 6.21 0.30
Blackbuck 105,000 6.12 0.30
Sona BLW Precis. 112,709 6.02 0.29
Go Digit General 174,415 5.86 0.29
Mahanagar Gas 47,993 5.85 0.29
Mphasis 24,358 5.59 0.27
Trent 13,800 5.38 0.26
Biocon 133,666 5.21 0.25
LIC Housing Fin. 96,000 5.16 0.25
CARE Ratings 31,813 5.13 0.25
Cipla 37,875 5.11 0.25
Campus Activewe. 193,112 5.01 0.24
LTIMindtree 10,773 4.81 0.23
HDFC Life Insur. 67,100 4.80 0.23
DLF 79,200 4.78 0.23
Crompton Gr. Con 184,500 4.76 0.23
Tech Mahindra 34,200 4.64 0.23
Leela Palaces Ho 101,066 4.58 0.22
Swiggy 150,000 4.53 0.22
Deepak Nitrite 27,518 4.35 0.21
Hind. Unilever 16,785 3.92 0.19
General Insuranc 90,649 3.47 0.17
RBL Bank 101,600 3.25 0.16
Colgate-Palmoliv 12,825 2.89 0.14
Greenply Industr 122,485 2.70 0.13
Guj.St.Petronet 87,736 2.67 0.13
Asian Paints 11,250 2.67 0.13
United Spirits 17,600 2.43 0.12
Bank of Baroda 73,125 2.35 0.11
Tata Power Co. 47,850 1.81 0.09
Gateway Distri 300,000 1.77 0.09
Lupin 7,650 1.76 0.09
Dalmia BharatLtd 8,450 1.68 0.08
Prince Pipes 63,846 1.61 0.08
Indian Hotels Co 23,000 1.53 0.07
Punjab Natl.Bank 96,000 1.24 0.06
Natl. Aluminium 26,250 0.93 0.05
Container Corpn. 15,000 0.74 0.04
Torrent Pharma. 4,500,000 45.01 2.19
S I D B I 4,000,000 39.87 1.94
REC Ltd 3,500,000 35.20 1.71
Piramal Finance. 2,500,000 25.05 1.22
N A B A R D 2,500,000 25.02 1.22
Muthoot Finance 2,500,000 25.00 1.22
ICICI Securities 2,500,000 24.85 1.21
H U D C O 2,500,000 24.75 1.21
Mindspace Busine 2,000,000 19.90 0.97
Natl. Hous. Bank 1,900,000 19.15 0.93
KOTAK MAHI. INV. 1,500,000 15.00 0.73
HDFC Bank 1,200,000 12.08 0.59
India Infra Fin 800,000 8.06 0.39
Bajaj Housing 750,000 7.59 0.37
GSEC2033 7,025,000 72.49 3.53
GSEC2034 5,775,000 58.22 2.84
GSEC2034 3,443,200 35.37 1.72
GSEC2032 2,500,000 25.11 1.22
Haryana 2040 7.15 2,500,000 24.01 1.17
GSEC2033 1,000,000 10.38 0.51
GSEC2064 500,000 4.95 0.24
GSEC2065 500,000 4.68 0.23
TREPS 0 67.42 3.28
Net CA & Others 0 20.03 0.98
TVS Motor Co. 170,648 0.18 0.01