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InvestVerdict

Aditya Birla Sun Life Multi Asset Allocation Fund

Regular Plan · IDCW · Multi Asset Allocation · Scheme code 151310

Fund houseAditya Birla Sun Life Mutual Fund
CategoryMulti Asset Allocation
Plan & optionRegular · IDCW
History3.6 years

Returns (%)

 1M3M6M1Y3Y5Y7Y10YLaunch
This scheme 2.504.333.06 9.869.62 11.12
Nifty 100
benchmark
0.253.49-1.52 1.8410.529.38 12.79
Multi Asset Allocation
category median
8.5814.9912.10 10.76

Over a year annualised (CAGR), under a year absolute. Computed from AMFI's published NAV history for this scheme.

Risk

 VolatilitySharpeSortinoBetaAlphaMax fall
This scheme 10.7% 0.29 0.38 0.60 1.35% -16.6% 69.20
Nifty 100
benchmark
17.1%0.23 0.32 -37.0%

Risk-free rate 6.5%. Beta, alpha and R² are regressed on the 42 months this scheme and its benchmark share.

Growth of ₹100 since launch

9311413415420242026InvestVerdict

Drawdown from peak (%)

0%-6%-12%-17%20242026

Every one-year period it has lived through

WindowsWorstMedianBestPeriods that lost money
127 -1.2% 9.4% 24.4% 4%

Every one-year holding period in this scheme's history, not just the last one — the spread a real investor would have met depending only on when they started.

InvestVerdict

Aditya Birla Sun Life Multi Asset Allocation Fund

Regular Plan · IDCW

Allocation

By asset

Equity68.78%
Debt10.30%
Gold9.35%
REITs / InvITs5.14%
Cash & Equivalents3.81%
Silver2.61%

By market cap

Large Cap40.42%
Mid Cap20.77%
Small Cap9.76%
Unclassified25.24%

Concentration

Number of stocks109
Top 5 stocks21.53%
Top 10 stocks30.70%
Top 20 stocks44.92%
Largest holding9.35%
Largest sectorBanks 14.78%
Effective stocks49.4
Cash3.81%
InvestVerdict

Aditya Birla Sun Life Multi Asset Allocation Fund

Regular Plan · IDCW · holdings

Top 18 holdings

#CompanySector% of fund
1 Unclassified9.35%
2 Banks4.21%
3 Banks3.22%
4 Unclassified2.62%
5 Unclassified2.61%
6 Petroleum Products2.14%
7 Telecom - Services1.99%
8 Electrical Equipment1.89%
9 Unclassified1.85%
10 Banks1.80%
11 Banks1.79%
12 IT - Software1.70%
13 Auto Components1.63%
14 Diversified FMCG1.61%
15 Banks1.60%
16 Sovereign1.50%
17 Beverages1.40%
18 Retailing1.37%

Sector split

Banks — 14.8%Unclassified — 12.0%Auto Components — 5.6%Retailing — 5.2%IT - Software — 4.7%Finance — 3.9%Cash & Equivalents — 3.8%Realty — 3.7%ICRA AAA — 3.6%Other — 42.7%Banks14.8%Unclassified12.0%Auto Components5.6%Retailing5.2%IT - Software4.7%Finance3.9%Cash & Equivalents3.8%Realty3.7%ICRA AAA3.6%Other42.7%
Banks14.78%
Unclassified11.97%
Auto Components5.63%
Retailing5.18%
IT - Software4.66%
Finance3.93%
Cash & Equivalents3.81%
Realty3.66%
ICRA AAA3.63%
Transport Infrastructure3.55%

Not investment advice. InvestVerdict is not a SEBI-registered Investment Adviser or Research Analyst. Every figure is computed from AMFI's published NAV history and the portfolio the AMC filed with AMFI; none of it is a recommendation to buy, hold or sell. Past returns do not predict future ones. Generated 29 Aug 2026.