- Scheme Category:
- Hybrid Scheme >
- Multi Asset Allocation Fund
NAV: ₹ 11.9858 ↑ 0.29%
[as on 15 October, 2025]
NAV chart with SMA (Simple moving average) overlay
SMA (Simple Moving Average)
Returns
Name | YTD | 1D | 1W | 1M | 3M | 1Y | 3Y | 5Y | 7Y | 10Y |
---|
Bajaj Finserv Multi Asset Allocation Fund - Direct Growth | 14.93% | 0.29% | 2.42% | 5.35% | 5.49% | 10.07% | - | - | - | - |
Portfolio
Asset allocation
Equity | Debt | Realestate | Commodities | Cash & Equivalents |
---|
83.58% |
14.43% (Arbitrage: 1.81%) |
0.00% |
0.00% |
3.80% |
Equity
Name | Sector | Weight % |
---|
HDFC Bank Limited | Banks | 6.94% |
State Bank of India | Banks | 4.35% |
Hindustan Unilever Limited | Diversified FMCG | 3.38% |
Infosys Limited | IT - Software | 2.72% |
ITC Limited | Diversified FMCG | 2.45% |
Larsen & Toubro Limited | Construction | 2.11% |
Tata Steel Limited | Ferrous Metals | 2.10% |
Indian Bank | Banks | 2.04% |
Tata Consultancy Services Limited | IT - Software | 1.96% |
Bharti Airtel Limited | Telecom - Services | 1.95% |
GAIL (India) Limited | Gas | 1.90% |
Bajaj Finserv Limited | Finance | 1.84% |
GlaxoSmithKline Pharmaceuticals Limited | Pharmaceuticals & Biotechnology | 1.71% |
Britannia Industries Limited | Food Products | 1.43% |
Power Grid Corporation of India Limited | Power | 0.90% |
CESC Limited | Power | 1.32% |
Marico Limited | Agricultural Food & other Products | 1.32% |
Canara Bank | Banks | 1.31% |
Maruti Suzuki India Limited | Automobiles | 1.27% |
Sun Pharmaceutical Industries Limited | Pharmaceuticals & Biotechnology | 1.25% |
Eicher Motors Limited | Automobiles | 1.24% |
Asian Paints Limited | Consumer Durables | 1.22% |
Abbott India Limited | Pharmaceuticals & Biotechnology | 1.20% |
Maharashtra Scooters Limited | Finance | 1.07% |
Vedanta Limited | Diversified Metals | 1.05% |
Mahanagar Gas Limited | Gas | 0.99% |
NTPC Limited | Power | 0.97% |
Cummins India Limited | Industrial Products | 0.94% |
360 One WAM Limited | Capital Markets | 0.92% |
Aditya Birla Sun Life AMC Limited | Capital Markets | 0.89% |
National Aluminium Company Limited | Non - Ferrous Metals | 0.82% |
Hindustan Zinc Limited | Non - Ferrous Metals | 0.82% |
HCL Technologies Limited | IT - Software | 0.82% |
Sanofi Consumer Healthcare India Limited | Pharmaceuticals & Biotechnology | 0.81% |
eClerx Services Limited | Commercial Services & Supplies | 0.80% |
Oracle Financial Services Software Limited | IT - Software | 0.74% |
ITC Hotels Limited | Leisure Services | 0.72% |
Punjab National Bank | Banks | 0.70% |
CRISIL Limited | Finance | 0.66% |
Hero MotoCorp Limited | Automobiles | 0.65% |
Mahindra & Mahindra Limited | Automobiles | 0.63% |
ICICI Bank Limited | Banks | 0.61% |
ICRA Limited | Capital Markets | 0.59% |
Emami Limited | Personal Products | 0.59% |
Aptus Value Housing Finance India Limited | Finance | 0.58% |
Godrej Consumer Products Limited | Personal Products | 0.43% |
Ingersoll Rand (India) Limited | Industrial Products | 0.18% |
DSP SILVER ETF | | 12.08% |
DSP Gold ETF | | 3.43% |
| | 1.65% |
Mirae Asset Gold ETF | | 0.53% |
Debt
Name | Rating | Weight % |
---|
7.37% Axis Finance Limited (23/08/2028) ** | CRISIL AAA | 4.11% |
8.60% Muthoot Finance Limited (02/03/2028) ** | CRISIL AA+ | 2.08% |
Bajaj Finserv Banking and PSU Fund Dr Pl Gr | | 4.53% |
Bajaj Finserv Money Market Fund-Direct Plan-Growth | | 1.90% |
Portfolio data is as on date 30 September, 2025
NAV (Net asset value) history
Bajaj Finserv Multi Asset Allocation Fund - Direct Growth - 30 days NAV history
Date | NAV |
---|
15 October, 2025 | 11.9858 |
14 October, 2025 | 11.9517 |
13 October, 2025 | 11.9441 |
10 October, 2025 | 11.8187 |
9 October, 2025 | 11.8081 |
8 October, 2025 | 11.7023 |
7 October, 2025 | 11.6542 |
6 October, 2025 | 11.6388 |
3 October, 2025 | 11.5565 |
1 October, 2025 | 11.4999 |
30 September, 2025 | 11.4322 |
29 September, 2025 | 11.4486 |
26 September, 2025 | 11.3435 |
25 September, 2025 | 11.4359 |
24 September, 2025 | 11.4479 |
23 September, 2025 | 11.4692 |
22 September, 2025 | 11.4627 |
19 September, 2025 | 11.4312 |
18 September, 2025 | 11.4417 |
17 September, 2025 | 11.4042 |
16 September, 2025 | 11.4456 |
15 September, 2025 | 11.3770 |
12 September, 2025 | 11.3896 |
11 September, 2025 | 11.3484 |
10 September, 2025 | 11.3324 |
9 September, 2025 | 11.2852 |
8 September, 2025 | 11.2327 |
5 September, 2025 | 11.2035 |
4 September, 2025 | 11.2270 |
3 September, 2025 | 11.2093 |
FAQ (Frequently asked questions)
What is latest/current NAV/price of Bajaj Finserv Multi Asset Allocation Fund - Direct Growth?
The latest NAV of Bajaj Finserv Multi Asset Allocation Fund - Direct Growth is 11.9858 as on 15 October, 2025.
What are YTD (year to date) returns of Bajaj Finserv Multi Asset Allocation Fund - Direct Growth?
The YTD (year to date) returns of Bajaj Finserv Multi Asset Allocation Fund - Direct Growth are 14.93% as on 15 October, 2025.
What are 1 year returns of Bajaj Finserv Multi Asset Allocation Fund - Direct Growth?
The 1 year returns of Bajaj Finserv Multi Asset Allocation Fund - Direct Growth are 10.07% as on 15 October, 2025.