Fund House
Motilal Oswal Mutual Fund
Category
Hybrid Scheme - Dynamic Asset Allocation or Balanced Advantage
Plan
Direct
Option
IDCW
Scheme Code
#139865
Investment Calculator
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Invested Returns
Calculator uses compound interest. Default return is based on this fund's 1-year performance. Actual returns may vary. Past performance ≠ future results.

NAV History

Recent NAV Data
DateNAV (₹)Change
13-04-2026 11.3767 -0.0220 (-0.19%)
10-04-2026 11.3987 +0.0864 (+0.76%)
09-04-2026 11.3123 -0.0358 (-0.32%)
08-04-2026 11.3481 +0.2503 (+2.26%)
07-04-2026 11.0978 +0.0501 (+0.45%)
06-04-2026 11.0477 +0.1063 (+0.97%)
02-04-2026 10.9414 -0.0002 (0.00%)
01-04-2026 10.9416 +0.1183 (+1.09%)
31-03-2026 10.8233 +0.0000 (+0.00%)
30-03-2026 10.8233 -0.1803 (-1.64%)
27-03-2026 11.0036 -0.1460 (-1.31%)
25-03-2026 11.1496 +0.1452 (+1.32%)
24-03-2026 11.0044 +0.1708 (+1.58%)
23-03-2026 10.8336 -0.2229 (-2.02%)
20-03-2026 11.0565 +0.0616 (+0.56%)
19-03-2026 10.9949 -0.2339 (-2.08%)
18-03-2026 11.2288 +0.1325 (+1.19%)
17-03-2026 11.0963 +0.1954 (+1.79%)
16-03-2026 10.9009 -0.0410 (-0.37%)
13-03-2026 10.9419 -0.1612 (-1.45%)
12-03-2026 11.1031 -0.0756 (-0.68%)
11-03-2026 11.1787 -0.0750 (-0.67%)
10-03-2026 11.2537 +0.1293 (+1.16%)
09-03-2026 11.1244 -0.1615 (-1.43%)
06-03-2026 11.2859 -0.0479 (-0.42%)
05-03-2026 11.3338 +0.0432 (+0.38%)
04-03-2026 11.2906 -0.1431 (-1.25%)
02-03-2026 11.4337 -0.0750 (-0.65%)
27-02-2026 11.5087 -0.0779 (-0.67%)
26-02-2026 11.5866 +0.0406 (+0.35%)
25-02-2026 11.5460 -0.0098 (-0.08%)
24-02-2026 11.5558 -0.1211 (-1.04%)
23-02-2026 11.6769 -0.0065 (-0.06%)
20-02-2026 11.6834 -0.0294 (-0.25%)
19-02-2026 11.7128 -0.1433 (-1.21%)
18-02-2026 11.8561 +0.0419 (+0.35%)
17-02-2026 11.8142 +0.0157 (+0.13%)
16-02-2026 11.7985 +0.0716 (+0.61%)
13-02-2026 11.7269 -0.2366 (-1.98%)
12-02-2026 11.9635 -0.1004 (-0.83%)
11-02-2026 12.0639 -0.0558 (-0.46%)
10-02-2026 12.1197 +0.0331 (+0.27%)
09-02-2026 12.0866 +0.3103 (+2.63%)
06-02-2026 11.7763 -0.0208 (-0.18%)
05-02-2026 11.7971 -0.1027 (-0.86%)
04-02-2026 11.8998 +0.0495 (+0.42%)
03-02-2026 11.8503 +0.2376 (+2.05%)
02-02-2026 11.6127 -0.2540 (-2.14%)
30-01-2026 11.8667 +0.0334 (+0.28%)
29-01-2026 11.8333 +0.0114 (+0.10%)
28-01-2026 11.8219 +0.0629 (+0.53%)
27-01-2026 11.7590 -0.0247 (-0.21%)
23-01-2026 11.7837 -0.2270 (-1.89%)
22-01-2026 12.0107 +0.0000 (+0.00%)
21-01-2026 12.0107 -0.1496 (-1.23%)
20-01-2026 12.1603 -0.1631 (-1.32%)
19-01-2026 12.3234 -0.0897 (-0.72%)
16-01-2026 12.4131 -0.0210 (-0.17%)
14-01-2026 12.4341 -0.0970 (-0.77%)
13-01-2026 12.5311 +0.0557 (+0.45%)
About This Fund

Motilal Oswal Balanced Advantage Fund Direct - Quarterly IDCW Payout/Reinvestment is a mutual fund scheme offered by Motilal Oswal Mutual Fund. It is classified under the Hybrid Scheme - Dynamic Asset Allocation or Balanced Advantage category by SEBI. The latest NAV is ₹11.37670 as on 13-04-2026. Hybrid funds invest in a mix of equity and debt instruments, offering balanced risk-return characteristics. Aggressive Hybrid funds allocate 65-80% to equity, while Conservative Hybrid funds allocate 75-90% to debt. Balanced Advantage Funds dynamically shift allocations based on market valuations. Past performance does not guarantee future results. Please consult a SEBI-registered financial advisor before investing.

Frequently Asked Questions
What is the latest NAV of Motilal Oswal Balanced Advantage Fund Direct - Quarterly IDCW Payout/Reinvestment?
The latest NAV of Motilal Oswal Balanced Advantage Fund Direct - Quarterly IDCW Payout/Reinvestment is ₹11.37670 as on 13-04-2026. NAV (Net Asset Value) represents the per-unit market value of the fund and is updated on every business day by AMFI.
What category does Motilal Oswal Balanced Advantage Fund Direct - Quarterly IDCW Payout/Reinvestment belong to?
Motilal Oswal Balanced Advantage Fund Direct - Quarterly IDCW Payout/Reinvestment is classified under "Hybrid Scheme - Dynamic Asset Allocation or Balanced Advantage" by SEBI. Hybrid funds invest in a mix of equity and debt instruments, offering balanced risk-return characteristics. Aggressive Hybrid funds allocate 65-80% to equity, while Conservative Hybrid funds allocate 75-90% to debt. Balanced Advantage Funds dynamically shift allocations based on market valuations.
What is the difference between Direct and Regular plan of Motilal Oswal Balanced Advantage Fund Direct - Quarterly IDCW Payout/Reinvestment?
The Direct plan of Motilal Oswal Balanced Advantage Fund Direct - Quarterly IDCW Payout/Reinvestment has a lower expense ratio as it does not involve any distributor/agent commission. This means more of your money is invested, leading to better long-term returns compared to the Regular plan. You can invest in Direct plans through the AMC website or platforms like MFCentral, Kfintech, or CAMS.
How can I invest in Motilal Oswal Balanced Advantage Fund Direct - Quarterly IDCW Payout/Reinvestment?
You can invest in Motilal Oswal Balanced Advantage Fund Direct - Quarterly IDCW Payout/Reinvestment through: (1) The Motilal Oswal Mutual Fund official website or app, (2) SEBI-registered online platforms like Groww, Zerodha Coin, ET Money, Kuvera, (3) MFCentral or your bank's investment portal, or (4) Through a SEBI-registered mutual fund distributor. You can start a SIP (Systematic Investment Plan) with as low as ₹500/month or make a lumpsum investment.
Can I start a SIP in Motilal Oswal Balanced Advantage Fund Direct - Quarterly IDCW Payout/Reinvestment?
Yes, you can start a Systematic Investment Plan (SIP) in Motilal Oswal Balanced Advantage Fund Direct - Quarterly IDCW Payout/Reinvestment. SIP allows you to invest a fixed amount (typically starting from ₹500) at regular intervals (monthly/quarterly). SIP helps in rupee cost averaging and disciplined investing. Use our SIP calculator on this page to estimate your potential returns.
What is the scheme code and ISIN of Motilal Oswal Balanced Advantage Fund Direct - Quarterly IDCW Payout/Reinvestment?
The AMFI scheme code for Motilal Oswal Balanced Advantage Fund Direct - Quarterly IDCW Payout/Reinvestment is 139865. The ISIN (International Securities Identification Number) is INF247L01643. These unique identifiers are used for transactions, KYC, and portfolio tracking across all platforms.