NIFTY 50 22,231.80 -1.64%SENSEX 71,593.24 -1.44%NIFTY BANK 54,515.05 -0.98%INDIA VIX 15.28 +10.01%NIFTY 100 23,266.75 -1.82%NIFTY MIDCAP 50 16,530.90 -2.71%NIFTY SMALLCAP 100 19,050.10 -2.34%IT 27,736.60 -0.08%Automobiles 24,512.70 -2.49%Metals 11,870.05 -3.55%Energy 35,649.30 -2.82%Realty 796.60 -3.16%Pharma 25,823.25 -2.32%FMCG 43,898.05 -2.02%PSU banks 7,995.95 -1.15%
NIFTY 50 22,231.80 -1.64%SENSEX 71,593.24 -1.44%NIFTY BANK 54,515.05 -0.98%INDIA VIX 15.28 +10.01%NIFTY 100 23,266.75 -1.82%NIFTY MIDCAP 50 16,530.90 -2.71%NIFTY SMALLCAP 100 19,050.10 -2.34%IT 27,736.60 -0.08%Automobiles 24,512.70 -2.49%Metals 11,870.05 -3.55%Energy 35,649.30 -2.82%Realty 796.60 -3.16%Pharma 25,823.25 -2.32%FMCG 43,898.05 -2.02%PSU banks 7,995.95 -1.15%
Finomin
/
Sign in
HHomeSCScreenerMFMFsAUGoldNWNews
Home › Mutual Funds › Canara Robeco Balanced Advantage Fund

Canara Robeco Balanced Advantage Fund

Hybrid · Dynamic Asset Allocation or Balanced Advantage
₹10.57
+0.28% 1D NAV change
NAV as of 31 Jul 2026
OverviewPeersPortfolioFund factsManager
+1.8% · NAV · 1Y
1M
+1.25%
cat. —
3M
+2.72%
cat. —
6M
+0.96%
cat. —
1Y
-0.80%
cat. +1.56%
3Y
—
cat. +10.27%
5Y
—
cat. +9.87%

Peers Hybrid › Dynamic Asset Allocation or Balanced Advantage

Fund1Y3Y5Y
Canara Robeco Balanced Advantage Fund-0.80%——
Aditya Birla Sun Life Balanced Advantage Fund+5.10%+12.10%+10.80%
Axis Balanced Advantage Fund+2.60%+12.30%+10.70%
Bajaj Finserv Balanced Advantage Fund+2.80%——
BANDHAN Balanced Advantage Fund Direct Plan Growth+3.80%+10.10%+8.90%
BANK OF INDIA BALANCED ADVANTAGE FUND DIRECT PLAN GROWTH+5.40%+9.60%+11.00%
Baroda BNP Paribas Balanced Advantage Fund+4.10%+12.50%+12.10%
DSP Dynamic Asset Allocation Fund+4.60%+11.20%+9.30%

Portfolio

Portfolio holdings and sector allocation are not published for this scheme.

Health check ALL CHECKS FREE

1 figures this scheme filed as of 24 Jul 2026, restated as published — not a rating.
1-year return
-0.80%
›

Fund facts

CategoryHybrid
Sub-categoryDynamic Asset Allocation or Balanced Advantage
AMCCanara Robeco Mutual Fund
NAV₹10.57 as of 31 Jul 2026
AUM, expense ratio, minimum SIP and exit load are not published in this dataset. 1Y, 3Y and 5Y are the scheme's AMFI-filed figures as of 24 Jul 2026. 1M, 3M, 6M and the chart are computed from its own daily NAV prints up to 31 Jul 2026, so a week that moved the NAV can put the two apart.

SIP calculator

Invested over 5Y₹3,00,000
Value at fund's 5Y CAGR—
This scheme's 5-year CAGR is not published, so a projected value cannot be shown.

Manager & AMC

Canara Robeco Mutual Fund
Fund manager identity and tenure are not published in this dataset.