Overview

Very High Risk
Fund Size (AUM)
₹5201.23 Cr
as on 22 Jul 2026
CAGR
8.49%
as on 30 Jun 2026
Expense Ratio
0.44 %
as on 30 Jun 2026
Fund Age
6 years 4 months
since 04 Mar 2020
Exit Load
0.50% of NAV
Within 30 days

Summary

Tata Multi Asset Allocation Fund is an open-ended multi-asset allocation fund having multi-strategies, investing in equity, debt, exchange-traded commodity derivatives and Reits & Invits. The fund seeks to generate long term capital appreciation. The Equity portfolio aims to create long term capital appreciation and Fixed Income portfolio is ideal for generation of regular income. The commodity portfolio (Exchange Traded commodity derivative portfolio or ETCD) seeks to generate returns through arbitrage and directional strategies in derivatives.


Investment Philosophy

To generate returns across market phases through a combination of asset classes - Equity, Debt, Commodities & Reits & Invits


Portfolio Positioning and Construction

  • Commodities - Commodity trades in the form of Arbitrage, Calendar Spreads and Directional trades are undertaken to potentially enhance portfolio returns 
  • Equity - Well rounded diversified investment strategy which is a combination of investment ideas across earnings cycle
  • Debt - High Quality Portfolio With Accrual Focus maintaining high liquidity

Exit Load

1. On or before 30 days from the date of allotment: 0.50%.
2. After 30 days from the date of allotment: NIL.


Minimum Investment Amount

SIP

100

Lumpsum

5,000

Calculators

100

₹ 10 Lakhs

Worth of investments in last

This Fund

N.A.

0%

65% BSE 200 TRI + 15% CRISIL Short Term Bond Index + 20% iCOMDEX Composite Index

N.A.

0%

Nifty 50 TRI

N.A.

0%

**Past performance may or may not be sustained in future. For performance in SEBI format please refer returns section.

Holding Analysis

Key Measures ^

Key Measures**FundBenchmark
Standard Deviation9.5910.5
Sharpe Ratio0.780.75
Portfolio Beta0.83NA
R Squared0.86NA
Treynor0.76NA
Jenson0.08NA
Portfolio Macauley Duration2.13 Years
Modified Duration2.05 Years
Average Maturity2.75 Years
YTM*7.32%
Past performance may or may not be sustained in future. Different plans have different expense structure

Holdingsas on 30 Jun 2026

Tata Gold Exchange Traded Fund5.58%
Reliance Industries Ltd.3.29%
HDFC Bank Ltd.3.09%
Bharti Airtel Ltd.2.66%
ICICI Bank Ltd.2.52%

Sectorsas on 30 Jun 2026

Financial Services31.86%
Oil, Gas & Consumable Fuels4.96%
Healthcare4.64%
Power3.88%
Automobile And Auto Components3.67%

Returns over the years

as on 30 Jun 2026
Current value of ₹10,000 invested
Annualized (%)65% BSE 200 TRI + 15% CRISIL Short Term Bond Index + 20% iCOMDEX Composite IndexBenchmark(%)Nifty 50 TRIAdditional Benchmark(%)Scheme65% BSE 200 TRI + 15% CRISIL Short Term Bond Index + 20% iCOMDEX Composite IndexBenchmark(%)Nifty 50 TRIAdditional Benchmark(%)

Since Inception

04 Mar 2020

17.64%14.74%13.97%₹27,953₹23,869₹22,869
Last 1 Year8.49%7.43%-5.42%₹10,849₹10,743₹9,458
Last 3 Years14.91%13.58%8.80%₹15,178₹14,657₹12,882
Last 5 Years13.82%12.05%9.98%₹19,110₹17,671₹16,097
Disclaimer:
Past performance may or may not be sustained in future. Different plans have different expense structure
.

Fund Managers

Rahul Singh Image

Rahul Singh

Managing since 14 Feb 2020

Sailesh Jain Image

Sailesh Jain

Managing since 14 Feb 2020

Murthy Nagarajan Image

Murthy Nagarajan

Managing since 14 Feb 2020

Tapan Patel Image

Tapan Patel

Managing since 11 Aug 2023

Amit Somani Image

Amit Somani

Managing since 01 Jun 2026

Riskometer

This product is suitable for investors who are seeking* :

  • Investment in equity & equity related instruments, debt instruments, exchange traded commodity derivatives and other instruments. 
  • Long Term Capital Appreciation
Scheme riskometer: Very High
Benchmark riskometer: Very High

** Investors should understand that their principal will be at Very High risk

Scheme Documents

Toggle FAQ

What is Tata Multi Asset Allocation Fund?

Toggle FAQ

How does Tata Multi Asset Allocation Fund work?

Toggle FAQ

Who should invest in Tata Multi Asset Allocation Fund?

Toggle FAQ

Tata Multi Asset Allocation Fund vs Balanced Advantage Fund: what is different?

Toggle FAQ

Is Tata Multi Asset Allocation Fund good for diversification?

Toggle FAQ

Is Tata Multi Asset Allocation Fund good for SIP?

Toggle FAQ

What are the risks of Tata Multi Asset Allocation Fund?

Toggle FAQ

Can beginners invest in Tata Multi Asset Allocation Fund?

Toggle FAQ

What asset classes does Tata Multi Asset Allocation Fund invest in?

Toggle FAQ

Does multi-asset allocation reduce risk?

Toggle FAQ

Tata Multi Asset Allocation Fund vs Flexi Cap Fund: what is the difference?

Toggle FAQ

How is Tata Multi Asset Allocation Fund taxed?

Toggle FAQ

Where can I check the latest NAV and asset allocation?

Toggle FAQ

Is Tata Multi Asset Allocation Fund suitable for long-term goals?

Toggle FAQ

How can I invest in Tata Multi Asset Allocation Fund online?