Top Balanced Funds

Best suited for goals with investment horizon of 3 years or more and for the investor who have moderate level of risk tolerance.

FundsPi
Balanced Returns

Equity betters debt to give better than average returns.


FundsPi
Medium Term Horizon

To build medium term goals over next 3-5 years.


FundsPi
Moderately High Risk Level

Mix of equity & debt moderates the risk of equity.



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Monthly (SIP)    OneTime(Lumpsum)



Based on past performance, investment would have grown as below
Total Invested Amount 25K
Gained 5.05K
Total Value 30.05K

Where will your money be invested?


Funds Name
ANNUALISED RETURNS(3 Yr)
Amount
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Fund House

Horizon

Risk

Category

ICICI Prudential Equity & Debt Fund

Balanced Equity - Aggressive Allocation | Growth

NAV: 225.49(18-Oct-2021)

  • 21.95 % Return( > 3 Yrs )
  • Very High Riskometer RISK Category
  • > 3 Years Investment Horizon

Principal Hybrid Equity Fund

Balanced Equity - Aggressive Allocation | Growth

NAV: 117.39(18-Oct-2021)

  • 17.00 % Return( > 3 Yrs )
  • Very High Riskometer RISK Category
  • > 3 Years Investment Horizon

SBI Equity Hybrid Fund

Balanced Equity - Aggressive Allocation | Growth

NAV: 211.36(18-Oct-2021)

  • 20.37 % Return( > 3 Yrs )
  • Very High Riskometer RISK Category
  • > 3 Years Investment Horizon

HDFC Hybrid Equity Fund

Balanced Equity - Aggressive Allocation | Growth

NAV: 81.92(18-Oct-2021)

  • 18.59 % Return( > 3 Yrs )
  • Very High Riskometer RISK Category
  • > 3 Years Investment Horizon

ICICI Prudential Balanced Advantage Fund

Balanced Equity - Dynamic Asset Allocation | Growth

NAV: 49.52(18-Oct-2021)

  • 14.52 % Return( > 3 Yrs )
  • High Risk RISK Category
  • > 3 Years Investment Horizon

Canara Robeco Equity Hybrid Fund

Balanced Equity - Aggressive Allocation | Growth

NAV: 254.43(18-Oct-2021)

  • 20.83 % Return( > 3 Yrs )
  • Very High Riskometer RISK Category
  • > 3 Years Investment Horizon

ICICI Prudential Multi-Asset Fund

Balanced Equity - Multi Asset allocation | Growth

NAV: 425.73(18-Oct-2021)

  • 19.08 % Return( > 3 Yrs )
  • Very High Riskometer RISK Category
  • > 3 Years Investment Horizon

HDFC Balanced Advantage Fund

Balanced Equity - Dynamic Asset Allocation | Growth

NAV: 291.63(18-Oct-2021)

  • 17.64 % Return( > 3 Yrs )
  • Very High Riskometer RISK Category
  • > 3 Years Investment Horizon

HDFC Equity Savings Fund

Balanced Equity - Equity Savings | Growth

NAV: 48.76(18-Oct-2021)

  • 11.78 % Return( > 3 Yrs )
  • High Risk RISK Category
  • > 3 Years Investment Horizon