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NAVs as of 20 Aug 2026

Tata Balanced Advantage FundRegular · IDCWquant Dynamic Asset Allocation FundRegular · IDCWSBI Balanced Advantage FundRegular · IDCWKotak Balanced Advantage FundRegular · IDCW4 of 4 funds
Comparing the maximum of 4. Replace which fund?

Growth of ₹100 (rebased over the selected window)

Common period 13 Apr 202320 Aug 2026, limited by quant Dynamic Asset Allocation Fund. Every series is rebased to ₹100 at the start of this window. Benchmark lines are the category index WealthTicker measures against, which is not always the benchmark the scheme itself declares — the fund page’s Scheme Info names that one.

View as table
Growth of ₹100, sampled across the common period
DateTata Balanced Advantage Fundquant Dynamic Asset Allocation FundSBI Balanced Advantage FundKotak Balanced Advantage FundNifty 50
13 Apr 2023₹100.00₹100.00₹100.00₹100.00₹100.00
24 Jul 2023₹107.07₹111.41₹108.55₹106.56₹110.35
03 Nov 2023₹108.29₹115.10₹109.51₹107.38₹107.87
13 Feb 2024₹118.83₹147.38₹121.48₹115.32₹121.96
25 May 2024₹124.88₹161.89₹128.31₹122.12₹128.77
04 Sep 2024₹131.74₹175.22₹135.41₹131.87₹141.34
16 Dec 2024₹131.06₹165.16₹135.10₹133.81₹138.37
28 Mar 2025₹127.01₹153.97₹133.50₹127.94₹131.92
08 Jul 2025₹134.09₹169.33₹142.04₹137.07₹143.16
18 Oct 2025₹134.51₹165.82₹142.12₹137.58₹144.21
28 Jan 2026₹133.61₹156.65₹144.73₹136.20₹142.15
10 May 2026₹135.12₹165.81₹144.51₹136.33₹135.61
20 Aug 2026₹131.80₹162.84₹144.84₹140.35₹135.92

Portfolio overlap (same stocks held through more than one fund)

Some overlap is structural: SEBI defines large cap as the top 100 stocks by market capitalisation, so two large-cap funds are fishing the same pond by regulation. The bands below are measured per sleeve pairing rather than against one blanket threshold. How this is measured →

Percentage of each pair of funds' equity books held in the same stocks. Select a cell to list that pair's shared holdings below.
OverlapTata Balanced Advantage Fundquant Dynamic Asset Allocation FundSBI Balanced Advantage FundKotak Balanced Advantage Fund
Tata Balanced Advantage Fund
quant Dynamic Asset Allocation Fund
SBI Balanced Advantage Fund
Kotak Balanced Advantage Fund
0% → 60%+ sharedSelect a cell to list that pair's shared stocks.

Tata Balanced Advantage Fund and Kotak Balanced Advantage Fund share 45% of their equity book by weight.

Shared holdings — Tata Balanced Advantage Fund vs Kotak Balanced Advantage Fund

Stocks held by both Tata Balanced Advantage Fund and Kotak Balanced Advantage Fund, with each fund's weight and the weight they share.
StockTata Balanced Advantage FundKotak Balanced Advantage Fund
Reliance Industries Ltd6.94%5.09%5.09%
HDFC Bank Ltd5.36%4.64%4.64%
ICICI Bank Ltd4.30%6.58%4.30%
Bharti Airtel Ltd4.45%3.36%3.36%
Larsen & Toubro Ltd3.67%3.19%3.19%
State Bank of India2.27%5.59%2.27%
Mahindra & Mahindra Ltd2.30%2.15%2.15%
Adani Ports and Special Economic Zone Ltd2.12%2.02%2.02%
Axis Bank Ltd2.02%2.09%2.02%
Bajaj Finance Ltd1.90%2.61%1.90%
ITC Ltd1.34%1.32%1.32%
NTPC Ltd1.90%1.10%1.10%
Sun Pharmaceutical Industries Ltd1.81%1.09%1.09%
Tech Mahindra Ltd1.25%1.02%1.02%
Hindustan Unilever Ltd2.66%0.99%0.99%

24 more stocks in common. 39 shared of 62 / 135 positions. Weights are shown as a share of each fund's equity book.

Tata Balanced Advantage Fund, quant Dynamic Asset Allocation Fund, SBI Balanced Advantage Fund, Kotak Balanced Advantage Fund compared on return, risk, benchmark-relative, cost and portfolio metrics, against the Dynamic Asset Allocation or Balanced Advantage median.
Metric
Tata · Regular · IDCW
NAV ₹20.33
High risk
★★★★★
quant · Regular · IDCW
NAV ₹16.30
High risk
★★★★☆
SBI · Regular · IDCW
NAV ₹15.92
High risk
★★★★★
Kotak Mahindra · Regular · IDCW
NAV ₹21.29
High risk
★★★★★
Category median
Dynamic Asset Allocation or Balanced Advantage · 38 funds
-0.95%-1.32%+3.56%+3.55%-1.74%
+7.07%+13.68%Best in row+10.14%+9.70%+4.21%
+7.72%+9.73%Best in row+8.73%+2.98%
+9.84%+15.65%Best in row+9.73%+9.85%+3.99%
+6.23%+6.55%+9.32%Best in row+8.68%
+11.94%+16.00%Best in row+13.11%+11.60%+5.11%
+12.13%Best in row+11.55%+4.14%
Risk
7.74%14.37%6.72%Best in row7.84%9.32%
0.070.500.540.41-0.26
0.100.690.74Best in row0.57-0.30
-20.29%-18.95%-7.58%Best in row-26.41%-20.29%
-0.53%+5.31%Best in row+2.28%+1.71%-3.31%
0.581.000.550.630.63
59.1%104.8%Best in row67.3%72.2%56.3%
44.0%72.3%36.6%Best in row47.7%61.8%
1.86%3.01%1.67%Best in row1.89%2.38%
₹8,873Cr₹902.64Cr₹40,549Cr₹16,987Cr₹2,137Cr
0.50%1.00%Up to 1.00%Up to 1.00%
₹100₹1.00K₹250₹100
₹5.00K₹5.00K₹5.00K₹100
316%72%49%209%
Rahul Singh · 7.6ySanjeev SharmaAnup Upadhyay · 1.7yAbhishek Bisen
29 Jan 201913 Apr 202307 Sep 202110 Aug 2018
621091135
25.2%62.1%26.7%25.4%
9.3%6.1%18.2%9.9%
4 rows carry the same value for every fund — show
10Y return (CAGR)
10Y rolling avg
Benchmark
Nifty 50
Lock-in
None

Best marks the strongest value in a row, and only where the gap is bigger than noise — a near-tie is left unmarked rather than dressed up as a result. SIP XIRR is a ₹10,000/month instalment over 5 years of real NAV history. Nothing here is supplied by a fund house. For research only — not investment advice.