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    Unifi Dynamic Asset Allocation Fund - Regular (G)

    Hybrid

    Balanced Advantage

    Unifi Dynamic Asset Allocation Fund - Regular (G) is a Balanced Advantage mutual fund. Currently it has a NAV of ₹11.01 as of 02 Jul 2026. Investors can start with a minimum SIP of ₹ 250.00.

    Unifi Dynamic Asset Allocation Fund - Regular (G)

    Hybrid · Balanced Advantage

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    Calculate Your Returns

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    Total Value : ₹5,434

    When you invest ₹100 over 3 years

    Returns%

    12.50% annually for last 3 years

    Invested Gains

    Similar to this Mutual Fund

    Min. SIP Amount
    ₹1,000
    1Y Returns
    -1.38% p.a
    Min. SIP Amount
    ₹1,000
    1Y Returns
    -0.62% p.a
    Min. SIP Amount
    ₹1,000
    1Y Returns
    3.27% p.a
    Other Information
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    Fund Age Icon

    Fund Age :

    1 years

    AUM Icon

    AUM :

    1242.98 Cr.

    Lock-in Period Icon

    Lock-in Period :

    0

    Exit Load Icon

    Exit Load :

    In case units are redeemed/switched out within 12 months from the date of allotment: Up to 20% of such units -Exit Load will be NIL In excess of 20% of such units - 1.5% of applicable NAV will be charged as Exit Load. In case units are redeemed/switched out after 12 months from the date of allotment, no Exit Load is applicable.

    Expense Ratio Icon

    Expense Ratio :

    1.52% (inclusive of GST)

    Tax Icon

    Tax Implication

    Withdrawal within 1 year:
    5% tax on gains

    Withdrawal after 1 year:
    10% tax on gains above 21 lakh per financial year

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    Fund Manager
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    AL
    Aejas Lakhani
    Aejas Lakhani will be managing the equity, equity arbitrage and hybrid portfolio of the scheme. He has 13 years of experience across fund management, equity research, governance advisory and investment banking. He has 4 years of Fund Management and Research experience in Unifi Capital wherein he managed the consumption themed equity PMS Scheme. He was also tracking sectors such as pharma, logistics, retail and capital markets. Earlier he worked as an Analyst in the Institutional Investor Advisory Services, SEBI registered proxy advisory firm. Prior to that, he was associated with Edelweiss Asset Management Limited as the lead analyst.
    KS
    Karthik Srinivas
    Karthik will be managing the debt portfolio of the scheme. He comes with about 10 years of financial services experience across fund management, research, audit and taxation. He has 3 years of fund management and debt markets research in Unifi Capital wherein he co-managed the debt-oriented Cat III Alternative Investment Fund. He was also responsible for identifying investment opportunities, evaluation and monitoring.
    SN
    Saravanan V N
    Sarvanan holds the position of Chief Investment in M/s. Unifi be responsible for overall investments of the scheme. He has about 24 years of financial services experience and has been associated with the Unifi group since August 2006. He has 12 years of fund management experience in managing both equity and debt AIFs launched by Unifi Capital. He has managed the multi asset class UnifiHigh Yield Fund (monthly open-ended Category III AIF) from April 2013 to July 2024 and co-managed the Unifi Blend & BCAD equity AIFs (Cat III) from Feb 2019 to March 2024. He has 7 years of equity research experience at Unifi Capital from August 2006 to March 2013 specifically covering Pharmaceuticals, Specialty Chemicals, Banks and NBFCs and providing sector & company specific recommendations to the equity fund management team. Prior to joining Unifi group, he worked for ICICI Bank, Aithent technologies and PWC in their compliance, risk management and audit departments, respectively.
    Risk & Rating
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    Start your SIP with just ₹100

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