DSP Multi Asset Allocation Fund - Direct - Growth

  • Scheme Category:  
  • Hybrid Scheme >  
  • Multi Asset Allocation Fund
NAV: ₹ 15.9585 ↑ 1.19%
[as on 25 March, 2026]

NAV chart

SMA (Simple Moving Average)

  • 50 SMA
  • 100 SMA
  • 200 SMA
  • 400 SMA

Returns

CAGR returns till date

CAGR returns of DSP Multi Asset Allocation Fund - Direct - Growth and its peers as on 25 March, 2026
NameYTD1D1W1M3M1Y3Y5Y7Y10Y
DSP Multi Asset Allocation Fund - Direct - Growth -0.27% 1.19% -1.56% -4.41% -0.08% 21.31%----

Discrete returns (yearly)

Year2016201720182019202020212022202320242025
Returns-------- 18.85% 25.04%

Discrete returns (monthly)

MonthMay 2025Jun 2025Jul 2025Aug 2025Sep 2025Oct 2025Nov 2025Dec 2025Jan 2026Feb 2026
Returns 3.48% 2.44% -0.04% 2.1% 5.2% 2.59% 1.94% 2.45% 2.96% -0.67%

Portfolio

Asset allocation

EquityDebtRealestateCommoditiesCash & Equivalents
49.34% 39.89% (Arbitrage: 0.00%) 3.56% 0.00% 7.20%

Equity

NameSymbol / ISINSectorWeight %
HDFC Bank LimitedHDFCBANK (INE040A01034)Banks4.31%
Bharti Airtel LimitedBHARTIARTL (INE397D01024)Telecom - Services2.73%
Infosys LimitedINFY (INE009A01021)IT - Software2.53%
ICICI Bank LimitedICICIBANK (INE090A01021)Banks2.39%
Angel One LimitedANGELONE (INE732I01013)Capital Markets1.64%
HCL Technologies LimitedHCLTECH (INE860A01027)IT - Software1.51%
GAIL (India) LimitedGAIL (INE129A01019)Gas1.47%
Axis Bank LimitedAXISBANK (INE238A01034)Banks1.42%
Indus Towers LimitedINDUSTOWER (INE121J01017)Telecom - Services1.35%
Bajaj Finserv LimitedBAJAJFINSV (INE918I01026)Finance1.34%
Mahindra & Mahindra Financial Services LimitedM&MFIN (INE774D01024)Finance1.26%
Power Grid Corporation of India LimitedPOWERGRID (INE752E01010)Power1.22%
Hindustan Petroleum Corporation LimitedHINDPETRO (INE094A01015)Petroleum Products1.19%
Oberoi Realty LimitedOBEROIRLTY (INE093I01010)Realty1.06%
Hindalco Industries LimitedHINDALCO (INE038A01020)Non - Ferrous Metals0.97%
LT Foods LimitedLTFOODS (INE818H01020)Agricultural Food & other Products0.89%
Samvardhana Motherson International LimitedMOTHERSON (INE775A01035)Auto Components0.88%
Hindustan Zinc LimitedHINDZINC (INE267A01025)Non - Ferrous Metals0.84%
Oil India LimitedOIL (INE274J01014)Oil0.74%
Maruti Suzuki India LimitedMARUTI (INE585B01010)Automobiles0.68%
Craftsman Automation LimitedCRAFTSMAN (INE00LO01017)Auto Components0.63%
Sun Pharmaceutical Industries LimitedSUNPHARMA (INE044A01036)Pharmaceuticals & Biotechnology0.58%
Hero MotoCorp LimitedHEROMOTOCO (INE158A01026)Automobiles0.53%
NMDC LimitedNMDC (INE584A01023)Minerals & Mining0.52%
Tata Steel LimitedTATASTEEL (INE081A01020)Ferrous Metals0.52%
Jindal Steel LimitedJINDALSTEL (INE749A01030)Ferrous Metals0.52%
Godrej Consumer Products LimitedGODREJCP (INE102D01028)Personal Products0.52%
CIE Automotive India LimitedCIEINDIA (INE536H01010)Auto Components0.48%
Archean Chemical Industries LimitedACI (INE128X01021)Chemicals & Petrochemicals0.44%
Tata Motors Passenger Vehicles LimitedTMPV (INE155A01022)Automobiles0.44%
Sapphire Foods India LimitedSAPPHIRE (INE806T01020)Leisure Services0.31%
Tata Motors Limited^INE1TAE01010Agricultural, Commercial & Construction Vehicles0.28%
IPCA Laboratories LimitedIPCALAB (INE571A01038)Pharmaceuticals & Biotechnology0.26%
GMM Pfaudler LimitedGMMPFAUDLR (INE541A01023)Industrial Manufacturing0.23%
Alembic Pharmaceuticals LimitedAPLLTD (INE901L01018)Pharmaceuticals & Biotechnology0.20%
SK Hynix IncKR7000660001IT - Hardware1.85%
Microsoft CorpUS5949181045IT - Software1.48%
Amazon.com IncUS0231351067Retailing1.19%
Alibaba Group Holding LimitedKYG017191142Retailing1.06%
Brookfield CorporationCA11271J1075Finance1.01%
Contemporary Amperex Technology Co LimitedCNE100003662Auto Components0.99%
Tencent Holdings LimitedKYG875721634Finance0.92%
NOVO NORDISK ADR REPSG 1 ORDUS6701002056Pharmaceuticals & Biotechnology0.89%
Schneider Electric Se OrdFR0000121972Electrical Equipment0.89%
Sony groupJP3435000009Consumer Durables0.80%
NIKE IncUS6541061031Consumer Durables0.69%
L'Oreal SAFR0000120321Personal Products0.66%
Sony Financial Holdings INC NPVJP3435350008Insurance0.03%

Debt

NameRatingWeight %
Bharti Telecom LimitedCRISIL AAA1.51%
Bharti Telecom Limited**CRISIL AAA1.10%
Power Finance Corporation Limited**CRISIL AAA0.51%
Power Finance Corporation Limited**CRISIL AAA0.51%
National Bank for Agriculture and Rural Development**ICRA AAA0.50%
6.48% GOI 2035Sovereign3.02%
6.90% GOI 2065Sovereign2.39%
7.09% GOI 2054Sovereign2.20%
7.14% Madhya Pradesh SDL 2041Sovereign1.01%
6.68% GOI 2040Sovereign1.00%
4.59% GOI 2031Sovereign0.52%
7.06% GOI 2028Sovereign0.31%
DSP Gold ETFMutual Funds10.27%
DSP Nifty50 Equial Weight ETFMutual Funds4.58%
DSP SILVER ETFMutual Funds3.24%
DSP NIFTY PSU BANK ETFMutual Funds2.07%
The Communication Services Select Sector SPDR FundForeign Security1.79%
iShares Global Industrials ETFForeign Security1.59%
iShares S&P 500 Energy Sector UCITS ETFForeign Security0.85%
iShares Global Healthcare ETFForeign Security0.83%
iShares Global Comm Services ETFForeign Security0.09%
Portfolio data is as on date 31 October, 2025

NAV history

DSP Multi Asset Allocation Fund - Direct - Growth - 30 days NAV (Net asset value) history

DateNAV% change
25 March, 202615.9585 1.19%
24 March, 202615.7701 2.29%
23 March, 202615.4172 -3.14%
20 March, 202615.9169 0.24%
19 March, 202615.8780 -2.05%
18 March, 202616.2110 0.6%
17 March, 202616.1141 0.79%
16 March, 202615.9871 -0.4%
13 March, 202616.0509 -1.26%
12 March, 202616.2550 -0.14%
11 March, 202616.2780 -0.25%
10 March, 202616.3185 0.77%
9 March, 202616.1943 -0.73%
6 March, 202616.3129 -1.02%
5 March, 202616.4807 0.19%
4 March, 202616.4494 -1.79%
2 March, 202616.7484 1.02%
27 February, 202616.5797 -0.67%
26 February, 202616.6915 -0.01%
25 February, 202616.6940 0.42%
24 February, 202616.6247 -0.18%
23 February, 202616.6546 0.25%
20 February, 202616.6134 0.1%
19 February, 202616.5966 -0.03%
18 February, 202616.6020 -0.03%
17 February, 202616.6064 0.37%
13 February, 202616.5453 -1.33%
12 February, 202616.7687 -0.12%
11 February, 202616.7885 0.13%
10 February, 202616.7666

FAQ (Frequently asked questions)

  • What is latest/current NAV/price of DSP Multi Asset Allocation Fund - Direct - Growth?
    The latest NAV of DSP Multi Asset Allocation Fund - Direct - Growth is 15.9585 as on 25 March, 2026.
  • What are YTD (year to date) returns of DSP Multi Asset Allocation Fund - Direct - Growth?
    The YTD (year to date) returns of DSP Multi Asset Allocation Fund - Direct - Growth are -0.27% as on 25 March, 2026.
  • What are 1 year returns of DSP Multi Asset Allocation Fund - Direct - Growth?
    The 1 year returns of DSP Multi Asset Allocation Fund - Direct - Growth are 21.31% as on 25 March, 2026.