Invest in IPO

ICICI Pru Balanced Advantage Fund (G)

28-Mar-2025 | 12:00 AM

  • AUM ( Cr) : 58,717
  • Inception Date : 31-Dec-2006
  • Category : Dynamic Asset Allocation or Balanced Advantage

Key Parameters

TypeOPEN ENDEDMinimum Investment ()500
52-Week High/Low()71.85 (27-Sep-2024) / 64.07 (18-Apr-2024) Incremental Investment () 100
Entry LoadNilBenchmarkCRISIL Hybrid 50+50 - Moderate Index
Exit LoadIF units purchased or switched in from another scheme of the Fund are redeemed or switched out up to 30% of the units (the limit) purchased or switched within 1 year from the date of allotment - Nil 1.00% - If units purchased or switched in from another scheme of the Fund are redeemed or switched out in excess of the limit within 1 year from the date of allotment. Nil - If units purchased or switched in from another scheme of the Fund are redeemed or switched out after 1 year from the date of allotment.Value of () 1,00,000 since inception693,600
Fund ManagerSankaran NarenExpense Ratio(%)1.48

Portfolio Indicators

Portfolio P/E 26.15 times Portfolio P/B 7.88 times
Average Maturity 2.19 years Yield To Maturity 7.29 %
Modified Duration 0.96 years Turnover Ratio (%) 0.33

Risk Factors

Jenson's Alpha 3.05 Standard Deviation 1.58
Beta 0.40 Sharpe 0.79
R-Squared 0.90 Treynor Factor 0.01

Company Top 5 Holdings

Company Asset Quantity Holdings (%)
HDFC Bank Equity 14866473 4.39
TREPS Reverse Repo 0 4.30
TVS Motor Co. Equity 11250400 4.26
Reverse Repo Reverse Repo 0 4.25
ICICI Bank Equity 20003805 4.10

Sector Top 5 Holdings

Sector Quantity Holdings (%)
Banks 70,654,431.00 20.63
Automobile 15,160,778.00 12.72
IT - Software 20,383,724.00 9.12
Real Estate Investment Trusts 55,765,521.00 4.67
Finance 9,429,291.00 4.63

Performance

Scheme Name Return(%)
YTD
Return(%)
3 Months
Return(%)
6 Months
Return(%)
1 Year
Return(%)
3 Years
Return(%)
5 Years
Return(%)
10 Years
Return(%)
Inception
ICICI Pru Balanced Advantage Fund (G) 0.27 -0.06 -3.47 7.64 12.10 17.78 10.67 11.19

Annual Performance

Year Scheme Return Category Return Benchmark Return Sensex Return AUM ()Cr
2025 -0.01 -2.56 NA -1.39 58,716.56
2024 12.25 12.46 NA 8.12 60,434.09
2023 16.21 17.93 NA 18.10 53,483.13
2022 7.44 3.64 NA 2.80 44,633.87
2021 15.03 12.38 NA 21.69 37,878.84

Quarterly Performance

Year Scheme Return Category Return Benchmark Return Sensex Return AUM ()Cr
Mar-2024 4.59 3.77 NA 1.91 56,174.64
Jun-2024 4.26 5.91 NA 6.78 58,562.19
Dec-2024 -3.14 -3.26 NA -7.27 60,434.09
Sep-2024 5.81 4.72 NA 6.07 62,050.92

Peer Comparison

Scheme Name AUM ( Cr.) Return(%)
1 Year
Return(%)
3 Years
Return(%)
5 Years
Since Inception Inception Date Sharpe Std.Dev.
Bank of India Liquid Fund 1,740.74 7.39 6.78 5.45 6.70 16-Jul-2008 0.22 0.10
Groww Liquid Fund 157.97 7.35 6.57 5.22 7.00 25-Oct-2011 -0.39 0.10
DSP Liquidity Fund 22,386.69 7.34 6.70 5.38 6.94 23-Nov-2005 -0.01 0.10
Canara Robeco Liquid Fund 5,294.06 7.34 6.74 5.33 6.95 16-Jul-2008 0.08 0.10
Union Liquid Fund 5,169.85 7.33 6.73 5.43 6.77 15-Jun-2011 0.06 0.10
PGIM India Liquid Fund 390.62 7.33 6.69 5.41 7.11 05-Sep-2007 -0.06 0.10
Edelweiss Liquid Fund 7,269.86 7.33 6.61 5.32 6.44 24-Sep-2007 -0.27 0.10
Aditya Birla SL Liquid Fund 57,091.44 7.32 6.72 5.44 7.09 16-Jun-1997 0.04 0.10
ICICI Pru Liquid Fund 55,112.40 7.32 6.68 5.40 7.14 17-Nov-2005 -0.07 0.10
Mirae Asset Liquid Fund 12,730.95 7.31 6.71 5.41 6.29 13-Jan-2009 0.01 0.10
HSBC Liquid Fund 20,043.37 7.31 6.53 4.96 6.03 04-Dec-2002 -0.44 0.12
Mahindra Manulife Liquid Fund 1,323.65 7.31 6.73 5.45 6.05 04-Jul-2016 0.08 0.09
LIC MF Liquid Fund 11,780.16 7.31 6.67 5.40 6.92 18-Mar-2002 -0.09 0.10
Tata Liquid Fund - Rgular 25,965.16 7.30 6.66 5.38 7.02 06-Sep-2004 -0.13 0.10
HDFC Liquid Fund 70,412.56 7.29 6.66 5.36 6.83 17-Oct-2000 -0.12 0.10
Sundaram Liquid Fund 6,619.27 7.28 6.68 5.31 6.45 30-Aug-2004 -0.09 0.10
Kotak Liquid 38,144.21 7.27 6.65 5.35 7.99 04-Nov-2003 -0.17 0.10
Baroda BNP Paribas Liquid Fund 10,428.96 7.26 6.72 5.39 6.56 14-Feb-2002 0.05 0.09
Bajaj Finserv Liquid Fund 4,635.44 7.25 NA NA 7.20 05-Jul-2023 4.05 0.04
Bandhan Liquid Fund 15,178.12 7.24 6.66 5.36 5.54 02-Apr-2004 -0.11 0.10
SBI Liquid Fund 66,778.13 7.21 6.63 5.36 6.91 27-Mar-2007 -0.19 0.10
WhiteOak Capital Liquid Fund 347.16 7.21 6.52 5.10 5.34 17-Jan-2019 -0.49 0.11
JM Liquid Fund 3,341.39 7.19 6.64 5.34 7.40 31-Dec-1997 -0.17 0.09
360 ONE Liquid Fund 1,089.62 7.15 6.57 5.15 6.18 13-Nov-2013 -0.35 0.09
TRUSTMF Liquid Fund 313.12 7.14 6.59 NA 5.79 23-Apr-2021 -0.29 0.09
Quant Liquid Plan 1,602.88 7.07 6.44 5.53 7.46 03-Oct-2005 -0.74 0.09
Quantum Liquid Fund 507.26 7.05 6.50 5.19 6.77 10-Apr-2006 -0.52 0.09
UTI-Liquid Fund 24,805.07 7.00 6.23 4.91 6.35 27-Jun-2003 -1.35 0.10
ITI Liquid Fund 48.21 6.97 6.37 4.99 5.02 24-Apr-2019 -1.02 0.09
Navi Liquid Fund 67.73 6.93 6.48 5.25 7.04 19-Feb-2010 -0.62 0.08
Parag Parikh Liquid Fund 2,425.86 6.91 6.30 5.04 5.28 11-May-2018 -1.15 0.09
AXIS Liquid Fund 42,866.63 6.82 6.22 4.92 6.60 02-Mar-2010 -1.39 0.10
Motilal Oswal Liquid Fund 961.62 6.80 6.23 4.93 5.00 19-Dec-2018 -1.33 0.09
Invesco India Liquid Fund 14,275.62 6.76 6.14 4.84 6.41 17-Nov-2006 -1.60 0.10
Franklin India Liquid Fund 2,388.43 6.66 6.01 4.72 6.76 29-Apr-1998 -2.02 0.10
Nippon India Liquid Fund 33,917.18 6.65 6.04 4.75 6.55 18-Mar-1998 -1.83 0.10
Shriram Liquid Fund 112.73 NA NA NA 2.61 14-Nov-2024 2.57 0.04

Asset Allocation

Sector Allocation

NAV Movement

AUM Growth ( Cr.)

Copyright © 2024 Arihant Capital Markets Ltd. All rights Reserved.

Designed,Developed and Content powered by CMOTS Infotech (ISO 9001:2015 certified)

x
  • QR-CodeNew