Parag Parikh Dynamic Asset Allocation Fund - Regular Plan Growth

  • Scheme Category:  
  • Hybrid Scheme >  
  • Dynamic Asset Allocation Fund
NAV: ₹ 11.7380 ↓ -0.1%
[as on 21 September, 2026]

NAV chart

SMA (Simple Moving Average)

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Returns

CAGR returns till date

CAGR returns of Parag Parikh Dynamic Asset Allocation Fund - Regular Plan Growth and its peers as on 21 September, 2026
NameYTD1D1W1M3M1Y3Y5Y7Y10Y
Parag Parikh Dynamic Asset Allocation Fund - Regular Plan Growth 2.45% -0.1% -0.06% -0.09% 0.21% 3.18%----
SBI Dynamic Asset Allocation Fund - Regular Plan - Growth 6.22% 0.18% -0.15% 1.04% 3.92% 25.12% 6.92% 8.31%--
SBI Balanced Advantage Fund - Regular Plan - Growth -2.83% 0.24% 0.16% -1.48% -0.79% 1.1% 8.88% 9.14%--
ICICI Prudential Balanced Advantage Fund - Growth 0.4% 0.18% 0.21% -2.33% 1.3% 3.14% 10.64% 10.14% 11.67% 10.41%
HDFC Balanced Advantage Fund - Growth Plan -3.52% 0.2% 0.12% -1.92% -0.59% -1.46% 10.72% 13.77% 15.15% 13.35%
Kotak Balanced Advantage Fund -Regular Plan - Growth Option -0.68% 0.13% -0.04% -1.76% 0.2% 0.76% 8.5% 7.79% 10.1%-

Discrete returns (yearly)

Year2016201720182019202020212022202320242025
Returns--------- 5.33%

Discrete returns (monthly)

MonthNov 2025Dec 2025Jan 2026Feb 2026Mar 2026Apr 2026May 2026Jun 2026Jul 2026Aug 2026
Returns 0.06% 0.15% 0.01% 1.35% -2.37% 2.11% -0.59% 1.71% 0.03% -0.52%

Portfolio

Asset allocation

EquityDebtRealestateCommoditiesCash & Equivalents
14.69% 72.00% (Arbitrage: 11.93%) 10.95% 0.00% 2.39%

Equity

NameSymbol / ISINSectorWeight %Other links
Coal India LimitedCOALINDIA (INE522F01014)Consumable Fuels2.86%DCF
Power Grid Corporation of India LimitedPOWERGRID (INE752E01010)Power2.76%DCF
Petronet LNG LimitedPETRONET (INE347G01014)Gas2.69%
ITC LimitedITC (INE154A01025)Diversified FMCG2.53%DCF
REC LimitedRECLTD (INE020B01018)Finance1.13%
Swaraj Engines LimitedSWARAJENG (INE277A01016)Industrial Products0.99%
Nesco LimitedNESCO (INE317F01035)Commercial Services & Supplies0.93%
VST Industries LimitedVSTIND (INE710A01016)Cigarettes & Tobacco Products0.76%
Indus Towers LimitedINDUSTOWER (INE121J01017)Telecom - Services0.06%
Reliance Industries LimitedRELIANCE (INE002A01018)Petroleum Products-0.01%DCF
HDFC Bank LimitedHDFCBANK (INE040A01034)Banks-0.01%DCF
Eternal LimitedETERNAL (INE758T01015)Retailing-0.01%
Titan Company LimitedTITAN (INE280A01028)Consumer Durables0.01%

Debt

NameRatingWeight %
7.21% Tamilnadu SDL (MD 21/01/2032)Sovereign3.84%
7.12% Tamilnadu SDL (MD 18/02/2032)Sovereign3.83%
7.72% Maharashtra SDL (MD 01/03/2031)Sovereign2.95%
7.49% Embassy Off Park RE NCD Sr XVII (22/06/2029)CRISIL AAA2.86%
7.6% Karnataka SDL (MD 04/01/2033)Sovereign2.73%
7.61% Gujarat SDL (MD 03/08/2032)Sovereign1.96%
7.64% NABARD Sr 25B NCD (MD 06/12/2029)ICRA AAA1.92%
7.08% Uttar Pradesh SDL (MD 17/02/2031)Sovereign1.92%
7.01% Gujarat SDL (MD 03/09/2031)Sovereign1.91%
6.95% Tamilnadu SDL (MD 17/02/2031)Sovereign1.91%
7.3763% Bajaj Fina NCD (MD 26/06/2028)CRISIL AAA1.90%
7.38% Bajaj Finance Ltd NCD Opt II (MD 28/06/2030)CRISIL AAA1.88%
7.81% Gujarat SDL (MD 12/10/2032)Sovereign1.38%
7.7% Karnataka SDL (MD 08/11/2033)Sovereign1.37%
7.55% Gujarat SDL (MD 20/12/2031)Sovereign1.24%
7.93% Uttar Pradesh SDL (MD 24/03/2030)Sovereign0.99%
7.7% Maharashtra SDL (MD 08/03/2031)Sovereign0.98%
7.02% GOI (MD 18/06/2031)Sovereign0.98%
7.33% Maharashtra SDL (MD 31/05/2031)Sovereign0.97%
7.39% Tamilnadu SDL (MD 10/05/2033)Sovereign0.96%
8.15% Tata Capital Ltd NCD (MD 11/06/2029)CRISIL AAA0.96%
7.75% LIC Housing Fin Ltd NCD Tr444 (MD23/08/29)CRISIL AAA0.96%
7.49% SIDBI NCD Ser VIII (MD 11/06/2029)CRISIL AAA0.96%
7.38% Karnataka SDL (MD 04/09/2034)Sovereign0.96%
7.42% SIDBI NCD Sr VII (MD 12/03/2029)CRISIL AAA0.96%
7.57% LIC Hsg Fin NCD Tr 447 Op I (MD 18/10/2029)CRISIL AAA0.96%
7.14% Madhya Pradesh SDL (MD 19/03/2032)Sovereign0.96%
7.40 % NABARD NCD Sr 25D (MD 29/04/2030)CRISIL AAA0.96%
7.05% Madhya Pradesh SDL (MD 26/03/2032)Sovereign0.95%
7.07% LIC Hsg Fin Tr 455 NCD (MD 29/04/2030)CRISIL AAA0.94%
7.73% Maharashtra SDL (MD 29/03/2032)Sovereign0.90%
6.78% Maharashtra SDL (MD 25/05/2031)Sovereign0.76%
7.34% Maharashtra SDL (MD 14/06/2031)Sovereign0.58%
7.76% Maharashtra SDL (MD 04/10/2030)Sovereign0.39%
7.79% Rajasthan SDL (MD 04/10/2032)Sovereign0.39%
7.7% Maharashtra SDL (MD 25/05/2032)Sovereign0.39%
7.68% Tamilnadu SDL (MD 25/10/2030)Sovereign0.39%
7.6% Tamilnadu SDL (MD 31/01/2031)Sovereign0.39%
7.39% Tamilnadu SDL (MD 26/07/2033)Sovereign0.39%
7.38% Tamilnadu SDL (MD 29/05/2033)Sovereign0.39%
7.08% Karnataka SDL (MD 12/08/2031)Sovereign0.38%
6.88% Karnataka SDL (MD 08/12/2032)Sovereign0.38%
7.07% IndiGrid Inf NCD SR AF (20/06/2030)CRISIL AAA0.38%
6.89% Karnataka SDL (MD 15/12/2033)Sovereign0.38%
6.62% Karnataka SDL (MD 30/12/2032)Sovereign0.37%
8.68% Andhra Pradesh SDL (MD 24/10/2030)Sovereign0.20%
7.93% Karnataka SDL (MD 08/04/2031)Sovereign0.20%
7.67% Andhra Pradesh SDL (MD 25/05/2031)Sovereign0.20%
7.73% Rajasthan SDL (MD 01/11/2033)Sovereign0.20%
7.39% Tamilnadu SDL (MD 21/06/2033)Sovereign0.19%
7.17% Uttar Pradesh SDL (MD 10/03/2031)Sovereign0.19%
7.15% Andhra Pradesh SDL (MD 04/03/2031)Sovereign0.19%
6.94% Rajasthan SDL (MD 29/09/2033)Sovereign0.19%
364 Days Tbill (MD 01/07/2027)Sovereign0.18%
Parag Parikh Liquid Fund- Direct Plan- Growth 3.42%
Portfolio data is as on date 31 July, 2026

NAV history

Parag Parikh Dynamic Asset Allocation Fund - Regular Plan Growth - 30 days NAV (Net asset value) history

DateNAV% change
21 September, 202611.7380 -0.1%
18 September, 202611.7498 0.19%
17 September, 202611.7271 0.03%
16 September, 202611.7239 0.16%
15 September, 202611.7054 -0.34%
11 September, 202611.7454 -0.24%
10 September, 202611.7735 -0.05%
9 September, 202611.7796 0.01%
8 September, 202611.7790 0.05%
7 September, 202611.7727 0.16%
4 September, 202611.7534 0.04%
3 September, 202611.7487 0.18%
2 September, 202611.7275 0%
1 September, 202611.7272 0.13%
31 August, 202611.7122 -0.16%
28 August, 202611.7312 0.02%
27 August, 202611.7293 -0.22%
25 August, 202611.7549 -0.05%
24 August, 202611.7608 0.1%
21 August, 202611.7486 0.01%
20 August, 202611.7471 -0.03%
19 August, 202611.7502 -0.15%
18 August, 202611.7678 -0.1%
17 August, 202611.7790 -0.22%
14 August, 202611.8044 -0.02%
13 August, 202611.8067 0.21%
12 August, 202611.7820 0.03%
11 August, 202611.7779 -0.11%
10 August, 202611.7905 -0.1%
7 August, 202611.8019

FAQ (Frequently asked questions)

  • What is latest/current NAV/price of Parag Parikh Dynamic Asset Allocation Fund - Regular Plan Growth?
    The latest NAV of Parag Parikh Dynamic Asset Allocation Fund - Regular Plan Growth is 11.7380 as on 21 September, 2026.
  • What are YTD (year to date) returns of Parag Parikh Dynamic Asset Allocation Fund - Regular Plan Growth?
    The YTD (year to date) returns of Parag Parikh Dynamic Asset Allocation Fund - Regular Plan Growth are 2.45% as on 21 September, 2026.
  • What are 1 year returns of Parag Parikh Dynamic Asset Allocation Fund - Regular Plan Growth?
    The 1 year returns of Parag Parikh Dynamic Asset Allocation Fund - Regular Plan Growth are 3.18% as on 21 September, 2026.