scanner-img
Summary Info
Fund Name ITI Mutual Fund
Scheme Name ITI Balanced Advantage Fund (G)
AMC ITI Mutual Fund
Type Open
Category Hybrid - Equity Oriented
Launch Date 09-Dec-19
Fund Manager Rajesh Bhatia
Net Assets ()Cr 394.00
NAV Graph
  One Month   Three Month   Six Month   One Year   Three Year   Five Year   Since INC
Latest Payouts
Dividends Bonus
Ratio NA NA
Date NA NA
Performance(%)
1 Week[%] 1 Month[%] 3 Month[%] 6 Month[%] 1 Year[%] 3 Year[%] 5 Year[%] Since INC[%]
Scheme Return 0.82 1.66 2.63 7.80 2.47 12.10 11.42 6.96
Category Avg 1.01 1.91 3.50 10.91 2.82 14.29 16.51 12.77
Category Best 2.46 5.04 10.17 19.79 16.05 24.13 27.33 36.57
Category Worst 0.34 0.44 0.41 5.10 -9.59 6.22 7.79 2.02
Holdings
Company Name No of Shares Market Value Hold %
HDFC Bank 212,532 20.22 5.13
Bharti Airtel 82,503 15.58 3.96
Infosys 91,328 13.42 3.41
Reliance Industr 97,410 13.22 3.36
Swiggy 235,677 9.66 2.45
Bajaj Finance 109,050 9.57 2.43
Eternal Ltd 285,991 8.98 2.28
Titan Company 21,757 7.90 2.00
HDFC Life Insur. 101,473 7.83 1.99
Wockhardt 52,997 7.57 1.92
SBI Life Insuran 40,317 7.28 1.85
Garware Hi Tech 26,020 7.02 1.78
SBI 85,300 6.85 1.74
M & M 21,013 6.72 1.71
TCS 19,441 6.00 1.52
ICICI Lombard 32,500 5.98 1.52
PB Fintech. 30,300 5.37 1.36
Larsen & Toubro 14,504 5.22 1.33
Siemens Ener.Ind 13,436 4.53 1.15
One 97 35,989 4.34 1.10
UltraTech Cem. 3,400 4.30 1.09
Amber Enterp. 5,308 3.86 0.98
Axis Bank 34,066 3.56 0.90
NTPC 105,713 3.46 0.88
HCL Technologies 23,213 3.38 0.86
Power Grid Corpn 118,800 3.27 0.83
A B B 5,625 2.81 0.71
Dam Capital Advi 106,000 2.32 0.59
Cummins India 6,000 2.30 0.58
Apollo Hospitals 2,873 2.19 0.55
ICICI Bank 13,685 1.91 0.49
Dixon Technolog. 1,131 1.89 0.48
Tata Consumer 17,507 1.87 0.47
Sagility India 372,052 1.63 0.41
Tata Motors 21,450 1.44 0.36
S I D B I 1,250,000 12.63 3.20
N A B A R D 1,100,000 11.13 2.82
Power Grid Corpn 1,000,000 10.35 2.63
Power Fin.Corpn. 750,000 7.55 1.92
REC Ltd 700,000 7.10 1.80
Sundaram Finance 700,000 7.00 1.78
I R F C 600,000 6.08 1.54
NTPC 250,000 2.53 0.64
Nuclear Power Co 200,000 2.07 0.53
Natl. Hous. Bank 200,000 2.04 0.52
GSEC2028 1,500,000 15.37 3.90
TREPS 0 55.29 14.03
Rel. Retail Vent 650,000 6.48 1.64
Net CA & Others 0 29.96 7.61
HDFC Bank 500,000 4.99 1.27