<?xml version="1.0" encoding="UTF-8"?>
<edgarSubmission xsi:schemaLocation="http://www.sec.gov/edgar/nmfp2 eis_NMFP1_Filer.xsd" xmlns="http://www.sec.gov/edgar/nmfp2" xmlns:ns1="http://www.sec.gov/edgar/common" xmlns:ns3="http://www.sec.gov/edgar/nmfp2common" xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance">
  <headerData>
    <submissionType>N-MFP2</submissionType>
    <filerInfo>
      <filer>
        <filerCredentials>
          <cik>0000924628</cik>
          <ccc>XXXXXXXX</ccc>
        </filerCredentials>
      </filer>
      <notifications></notifications>
    </filerInfo>
  </headerData>
  <formData>
    <generalInfo>
      <reportDate>2022-01-31</reportDate>
      <cik>0000924628</cik>
      <seriesId>S000010883</seriesId>
      <totalShareClassesInSeries>3</totalShareClassesInSeries>
      <finalFilingFlag>N</finalFilingFlag>
      <fundAcqrdOrMrgdWthAnthrFlag>N</fundAcqrdOrMrgdWthAnthrFlag>
    </generalInfo>
    <seriesLevelInfo>
      <securitiesActFileNumber>033-79708</securitiesActFileNumber>
      <adviser>
        <adviserName>Saratoga Capital Management, LLC</adviserName>
        <adviserFileNumber>801-46534</adviserFileNumber>
      </adviser>
      <indpPubAccountant>
        <name>Tait, Weller &amp; Baker LLP</name>
        <city>Philadelphia</city>
        <stateCountry>PA</stateCountry>
      </indpPubAccountant>
      <administrator>
        <administratorName>Gemini Fund Services, LLC</administratorName>
      </administrator>
      <transferAgent>
        <name>Gemini Fund Services, LLC</name>
        <cik>0001253179</cik>
        <fileNumber>084-06083</fileNumber>
      </transferAgent>
      <feederFundFlag>N</feederFundFlag>
      <masterFundFlag>N</masterFundFlag>
      <seriesFundInsuCmpnySepAccntFlag>N</seriesFundInsuCmpnySepAccntFlag>
      <moneyMarketFundCategory>Government/Agency</moneyMarketFundCategory>
      <moneyMarketFundCategory>Exempt Government</moneyMarketFundCategory>
      <fundExemptRetailFlag>N</fundExemptRetailFlag>
      <averagePortfolioMaturity>0</averagePortfolioMaturity>
      <averageLifeMaturity>0</averageLifeMaturity>
      <totalValueDailyLiquidAssets>
        <ns3:fridayDay1>5421607.96</ns3:fridayDay1>
        <ns3:fridayDay2>5383991.79</ns3:fridayDay2>
        <ns3:fridayDay3>5396539.73</ns3:fridayDay3>
        <ns3:fridayDay4>5474931.42</ns3:fridayDay4>
      </totalValueDailyLiquidAssets>
      <totalValueWeeklyLiquidAssets>
        <ns3:fridayWeek1>5421607.96</ns3:fridayWeek1>
        <ns3:fridayWeek2>5383991.79</ns3:fridayWeek2>
        <ns3:fridayWeek3>5396539.73</ns3:fridayWeek3>
        <ns3:fridayWeek4>5474931.42</ns3:fridayWeek4>
      </totalValueWeeklyLiquidAssets>
      <percentageDailyLiquidAssets>
        <ns3:fridayDay1>0.9971</ns3:fridayDay1>
        <ns3:fridayDay2>0.9971</ns3:fridayDay2>
        <ns3:fridayDay3>0.9971</ns3:fridayDay3>
        <ns3:fridayDay4>0.9972</ns3:fridayDay4>
      </percentageDailyLiquidAssets>
      <percentageWeeklyLiquidAssets>
        <ns3:fridayWeek1>0.9971</ns3:fridayWeek1>
        <ns3:fridayWeek2>0.9971</ns3:fridayWeek2>
        <ns3:fridayWeek3>0.9971</ns3:fridayWeek3>
        <ns3:fridayWeek4>0.9972</ns3:fridayWeek4>
      </percentageWeeklyLiquidAssets>
      <cash>126.60</cash>
      <totalValuePortfolioSecurities>5473785.12</totalValuePortfolioSecurities>
      <amortizedCostPortfolioSecurities>5473785.12</amortizedCostPortfolioSecurities>
      <totalValueOtherAssets>16075.48</totalValueOtherAssets>
      <totalValueLiabilities>250.49</totalValueLiabilities>
      <netAssetOfSeries>5489736.71</netAssetOfSeries>
      <numberOfSharesOutstanding>5499395.2310</numberOfSharesOutstanding>
      <stablePricePerShare>1.0000</stablePricePerShare>
      <sevenDayGrossYield>0.0003</sevenDayGrossYield>
      <netAssetValue>
        <ns3:fridayWeek1>0.9982</ns3:fridayWeek1>
        <ns3:fridayWeek2>0.9982</ns3:fridayWeek2>
        <ns3:fridayWeek3>0.9982</ns3:fridayWeek3>
        <ns3:fridayWeek4>0.9982</ns3:fridayWeek4>
      </netAssetValue>
    </seriesLevelInfo>
    <classLevelInfo>
      <classesId>C000030147</classesId>
      <minInitialInvestment>2500.00</minInitialInvestment>
      <netAssetsOfClass>164058.10</netAssetsOfClass>
      <numberOfSharesOutstanding>163747.3400</numberOfSharesOutstanding>
      <netAssetPerShare>
        <ns3:fridayWeek1>1.0016</ns3:fridayWeek1>
        <ns3:fridayWeek2>1.0019</ns3:fridayWeek2>
        <ns3:fridayWeek3>1.0019</ns3:fridayWeek3>
        <ns3:fridayWeek4>1.0019</ns3:fridayWeek4>
      </netAssetPerShare>
      <fridayWeek1>
        <weeklyGrossSubscriptions>1.57</weeklyGrossSubscriptions>
        <weeklyGrossRedemptions>84.18</weeklyGrossRedemptions>
      </fridayWeek1>
      <fridayWeek2>
        <weeklyGrossSubscriptions>0.00</weeklyGrossSubscriptions>
        <weeklyGrossRedemptions>29877.49</weeklyGrossRedemptions>
      </fridayWeek2>
      <fridayWeek3>
        <weeklyGrossSubscriptions>0.00</weeklyGrossSubscriptions>
        <weeklyGrossRedemptions>0.00</weeklyGrossRedemptions>
      </fridayWeek3>
      <fridayWeek4>
        <weeklyGrossSubscriptions>0.00</weeklyGrossSubscriptions>
        <weeklyGrossRedemptions>0.00</weeklyGrossRedemptions>
      </fridayWeek4>
      <fridayWeek5>
        <weeklyGrossSubscriptions>0.00</weeklyGrossSubscriptions>
        <weeklyGrossRedemptions>0.00</weeklyGrossRedemptions>
      </fridayWeek5>
      <totalForTheMonthReported>
        <weeklyGrossSubscriptions>1.57</weeklyGrossSubscriptions>
        <weeklyGrossRedemptions>29877.49</weeklyGrossRedemptions>
      </totalForTheMonthReported>
      <sevenDayNetYield>0.0001</sevenDayNetYield>
      <personPayForFundFlag>Y</personPayForFundFlag>
      <nameOfPersonDescExpensePay>Saratoga Capital Management, LLC $217.40</nameOfPersonDescExpensePay>
    </classLevelInfo>
    <classLevelInfo>
      <classesId>C000030148</classesId>
      <minInitialInvestment>10000.00</minInitialInvestment>
      <netAssetsOfClass>5241677.66</netAssetsOfClass>
      <numberOfSharesOutstanding>5252034.2910</numberOfSharesOutstanding>
      <netAssetPerShare>
        <ns3:fridayWeek1>0.9980</ns3:fridayWeek1>
        <ns3:fridayWeek2>0.9980</ns3:fridayWeek2>
        <ns3:fridayWeek3>0.9980</ns3:fridayWeek3>
        <ns3:fridayWeek4>0.9980</ns3:fridayWeek4>
      </netAssetPerShare>
      <fridayWeek1>
        <weeklyGrossSubscriptions>3941.50</weeklyGrossSubscriptions>
        <weeklyGrossRedemptions>359838.95</weeklyGrossRedemptions>
      </fridayWeek1>
      <fridayWeek2>
        <weeklyGrossSubscriptions>301.61</weeklyGrossSubscriptions>
        <weeklyGrossRedemptions>8749.94</weeklyGrossRedemptions>
      </fridayWeek2>
      <fridayWeek3>
        <weeklyGrossSubscriptions>14451.54</weeklyGrossSubscriptions>
        <weeklyGrossRedemptions>1902.49</weeklyGrossRedemptions>
      </fridayWeek3>
      <fridayWeek4>
        <weeklyGrossSubscriptions>86287.95</weeklyGrossSubscriptions>
        <weeklyGrossRedemptions>8914.96</weeklyGrossRedemptions>
      </fridayWeek4>
      <totalForTheMonthReported>
        <weeklyGrossSubscriptions>103897.60</weeklyGrossSubscriptions>
        <weeklyGrossRedemptions>378704.99</weeklyGrossRedemptions>
      </totalForTheMonthReported>
      <sevenDayNetYield>0.0001</sevenDayNetYield>
      <personPayForFundFlag>Y</personPayForFundFlag>
      <nameOfPersonDescExpensePay>Saratoga Capital Management, LLC $4,730.62</nameOfPersonDescExpensePay>
    </classLevelInfo>
    <classLevelInfo>
      <classesId>C000030150</classesId>
      <minInitialInvestment>10000.00</minInitialInvestment>
      <netAssetsOfClass>84000.95</netAssetsOfClass>
      <numberOfSharesOutstanding>83613.6000</numberOfSharesOutstanding>
      <netAssetPerShare>
        <ns3:fridayWeek1>1.0047</ns3:fridayWeek1>
        <ns3:fridayWeek2>1.0046</ns3:fridayWeek2>
        <ns3:fridayWeek3>1.0046</ns3:fridayWeek3>
        <ns3:fridayWeek4>1.0046</ns3:fridayWeek4>
      </netAssetPerShare>
      <fridayWeek1>
        <weeklyGrossSubscriptions>0.59</weeklyGrossSubscriptions>
        <weeklyGrossRedemptions>12.00</weeklyGrossRedemptions>
      </fridayWeek1>
      <fridayWeek2>
        <weeklyGrossSubscriptions>1886.40</weeklyGrossSubscriptions>
        <weeklyGrossRedemptions>0.00</weeklyGrossRedemptions>
      </fridayWeek2>
      <fridayWeek3>
        <weeklyGrossSubscriptions>0.00</weeklyGrossSubscriptions>
        <weeklyGrossRedemptions>0.00</weeklyGrossRedemptions>
      </fridayWeek3>
      <fridayWeek4>
        <weeklyGrossSubscriptions>0.00</weeklyGrossSubscriptions>
        <weeklyGrossRedemptions>0.00</weeklyGrossRedemptions>
      </fridayWeek4>
      <totalForTheMonthReported>
        <weeklyGrossSubscriptions>1886.99</weeklyGrossSubscriptions>
        <weeklyGrossRedemptions>0.00</weeklyGrossRedemptions>
      </totalForTheMonthReported>
      <sevenDayNetYield>0.0001</sevenDayNetYield>
      <personPayForFundFlag>Y</personPayForFundFlag>
      <nameOfPersonDescExpensePay>Saratoga Capital Management, LLC $146.39</nameOfPersonDescExpensePay>
    </classLevelInfo>
    <scheduleOfPortfolioSecuritiesInfo>
      <nameOfIssuer>BlackRock Liquidity FedFund</nameOfIssuer>
      <titleOfIssuer>BlackRock Liquidity FedFund</titleOfIssuer>
      <CUSIPMember>09248U700</CUSIPMember>
      <LEIID>none</LEIID>
      <ISINId>US09248U7000</ISINId>
      <investmentCategory>Other Instrument</investmentCategory>
      <briefDescription>Money Market Fund</briefDescription>
      <securityEligibilityFlag>N</securityEligibilityFlag>
      <NRSRO>
        <nameOfNRSRO>None</nameOfNRSRO>
        <rating>NR</rating>
      </NRSRO>
      <investmentMaturityDateWAM>2022-01-31</investmentMaturityDateWAM>
      <investmentMaturityDateWAL>2022-01-31</investmentMaturityDateWAL>
      <finalLegalInvestmentMaturityDate>2022-01-31</finalLegalInvestmentMaturityDate>
      <securityDemandFeatureFlag>N</securityDemandFeatureFlag>
      <securityGuaranteeFlag>N</securityGuaranteeFlag>
      <securityEnhancementsFlag>N</securityEnhancementsFlag>
      <yieldOfTheSecurityAsOfReportingDate>0.0003</yieldOfTheSecurityAsOfReportingDate>
      <includingValueOfAnySponsorSupport>1368446.42</includingValueOfAnySponsorSupport>
      <excludingValueOfAnySponsorSupport>1368446.42</excludingValueOfAnySponsorSupport>
      <percentageOfMoneyMarketFundNetAssets>0.2493</percentageOfMoneyMarketFundNetAssets>
      <securityCategorizedAtLevel3Flag>N</securityCategorizedAtLevel3Flag>
      <dailyLiquidAssetSecurityFlag>Y</dailyLiquidAssetSecurityFlag>
      <weeklyLiquidAssetSecurityFlag>Y</weeklyLiquidAssetSecurityFlag>
      <illiquidSecurityFlag>N</illiquidSecurityFlag>
      <explanatoryNotes>N/A</explanatoryNotes>
    </scheduleOfPortfolioSecuritiesInfo>
    <scheduleOfPortfolioSecuritiesInfo>
      <nameOfIssuer>Dreyfus Government Cash Management</nameOfIssuer>
      <titleOfIssuer>Dreyfus Government Cash Management</titleOfIssuer>
      <CUSIPMember>262006208</CUSIPMember>
      <LEIID>none</LEIID>
      <ISINId>US2620062081</ISINId>
      <investmentCategory>Other Instrument</investmentCategory>
      <briefDescription>Money Market Fund</briefDescription>
      <securityEligibilityFlag>N</securityEligibilityFlag>
      <NRSRO>
        <nameOfNRSRO>None</nameOfNRSRO>
        <rating>NR</rating>
      </NRSRO>
      <investmentMaturityDateWAM>2022-01-31</investmentMaturityDateWAM>
      <investmentMaturityDateWAL>2022-01-31</investmentMaturityDateWAL>
      <finalLegalInvestmentMaturityDate>2022-01-31</finalLegalInvestmentMaturityDate>
      <securityDemandFeatureFlag>N</securityDemandFeatureFlag>
      <securityGuaranteeFlag>N</securityGuaranteeFlag>
      <securityEnhancementsFlag>N</securityEnhancementsFlag>
      <yieldOfTheSecurityAsOfReportingDate>0.0003</yieldOfTheSecurityAsOfReportingDate>
      <includingValueOfAnySponsorSupport>1368446.42</includingValueOfAnySponsorSupport>
      <excludingValueOfAnySponsorSupport>1368446.42</excludingValueOfAnySponsorSupport>
      <percentageOfMoneyMarketFundNetAssets>0.2493</percentageOfMoneyMarketFundNetAssets>
      <securityCategorizedAtLevel3Flag>N</securityCategorizedAtLevel3Flag>
      <dailyLiquidAssetSecurityFlag>Y</dailyLiquidAssetSecurityFlag>
      <weeklyLiquidAssetSecurityFlag>Y</weeklyLiquidAssetSecurityFlag>
      <illiquidSecurityFlag>N</illiquidSecurityFlag>
      <explanatoryNotes>N/A</explanatoryNotes>
    </scheduleOfPortfolioSecuritiesInfo>
    <scheduleOfPortfolioSecuritiesInfo>
      <nameOfIssuer>JPMorgan US Government Money Market Fund</nameOfIssuer>
      <titleOfIssuer>JPMorgan US Government Money Market Fund</titleOfIssuer>
      <CUSIPMember>4812C0670</CUSIPMember>
      <LEIID>none</LEIID>
      <ISINId>US4812C06707</ISINId>
      <investmentCategory>Other Instrument</investmentCategory>
      <briefDescription>Money Market Fund</briefDescription>
      <securityEligibilityFlag>N</securityEligibilityFlag>
      <NRSRO>
        <nameOfNRSRO>None</nameOfNRSRO>
        <rating>NR</rating>
      </NRSRO>
      <investmentMaturityDateWAM>2022-01-31</investmentMaturityDateWAM>
      <investmentMaturityDateWAL>2022-01-31</investmentMaturityDateWAL>
      <finalLegalInvestmentMaturityDate>2022-01-31</finalLegalInvestmentMaturityDate>
      <securityDemandFeatureFlag>N</securityDemandFeatureFlag>
      <securityGuaranteeFlag>N</securityGuaranteeFlag>
      <securityEnhancementsFlag>N</securityEnhancementsFlag>
      <yieldOfTheSecurityAsOfReportingDate>0.0003</yieldOfTheSecurityAsOfReportingDate>
      <includingValueOfAnySponsorSupport>1368445.86</includingValueOfAnySponsorSupport>
      <excludingValueOfAnySponsorSupport>1368445.86</excludingValueOfAnySponsorSupport>
      <percentageOfMoneyMarketFundNetAssets>0.2493</percentageOfMoneyMarketFundNetAssets>
      <securityCategorizedAtLevel3Flag>N</securityCategorizedAtLevel3Flag>
      <dailyLiquidAssetSecurityFlag>Y</dailyLiquidAssetSecurityFlag>
      <weeklyLiquidAssetSecurityFlag>Y</weeklyLiquidAssetSecurityFlag>
      <illiquidSecurityFlag>N</illiquidSecurityFlag>
      <explanatoryNotes>N/A</explanatoryNotes>
    </scheduleOfPortfolioSecuritiesInfo>
    <scheduleOfPortfolioSecuritiesInfo>
      <nameOfIssuer>Federated Hermes Government Obligations Fund</nameOfIssuer>
      <titleOfIssuer>Federated Hermes Government Obligations Fund</titleOfIssuer>
      <CUSIPMember>60934N104</CUSIPMember>
      <LEIID>none</LEIID>
      <ISINId>US60934N1046</ISINId>
      <investmentCategory>Other Instrument</investmentCategory>
      <briefDescription>Money Market Fund</briefDescription>
      <securityEligibilityFlag>N</securityEligibilityFlag>
      <NRSRO>
        <nameOfNRSRO>None</nameOfNRSRO>
        <rating>NR</rating>
      </NRSRO>
      <investmentMaturityDateWAM>2022-01-31</investmentMaturityDateWAM>
      <investmentMaturityDateWAL>2022-01-31</investmentMaturityDateWAL>
      <finalLegalInvestmentMaturityDate>2022-01-31</finalLegalInvestmentMaturityDate>
      <securityDemandFeatureFlag>N</securityDemandFeatureFlag>
      <securityGuaranteeFlag>N</securityGuaranteeFlag>
      <securityEnhancementsFlag>N</securityEnhancementsFlag>
      <yieldOfTheSecurityAsOfReportingDate>0.0003</yieldOfTheSecurityAsOfReportingDate>
      <includingValueOfAnySponsorSupport>1368446.42</includingValueOfAnySponsorSupport>
      <excludingValueOfAnySponsorSupport>1368446.42</excludingValueOfAnySponsorSupport>
      <percentageOfMoneyMarketFundNetAssets>0.2493</percentageOfMoneyMarketFundNetAssets>
      <securityCategorizedAtLevel3Flag>N</securityCategorizedAtLevel3Flag>
      <dailyLiquidAssetSecurityFlag>Y</dailyLiquidAssetSecurityFlag>
      <weeklyLiquidAssetSecurityFlag>Y</weeklyLiquidAssetSecurityFlag>
      <illiquidSecurityFlag>N</illiquidSecurityFlag>
      <explanatoryNotes>N/A</explanatoryNotes>
    </scheduleOfPortfolioSecuritiesInfo>
    <signature>
      <registrant>Saratoga Advantage Trust</registrant>
      <signatureDate>2022-02-03</signatureDate>
      <signature>/s/ Bruce E. Ventimiglia</signature>
      <nameOfSigningOfficer>Bruce E. Ventimiglia</nameOfSigningOfficer>
      <titleOfSigningOfficer>President and Chief Executive Officer</titleOfSigningOfficer>
    </signature>
  </formData>
</edgarSubmission>
