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BACK
Fund Profile
Bandhan Banking & PSU Debt Fund - Direct (IDCW-M)
Summary Info
Fund Name
Bandhan Mutual Fund
Scheme Name
Bandhan Banking & PSU Debt Fund - Direct (IDCW-M)
AMC
Bandhan Mutual Fund
Type
Open
Category
Banking and PSU Fund
Launch Date
13-Mar-13
Fund Manager
Suyash Choudhary
Net Assets (
)
13,396.58
NAV Graph
One Month
Three Months
Six Months
One Year
Three Years
Five Years
Latest Payouts
Dividends
Bonus
Ratio
1.7187847999999999%
0.0
Date
24-Apr-25
0.0
Performance
(%)
1 Week
[%]
1 Months
[%]
6 Months
[%]
1 Year
[%]
3 Years
[%]
5 Years
[%]
Since
INC[%]
Scheme Return
0.11
1.33
2.93
4.78
9.28
7.13
6.86
7.84
Holdings
Company Name
Hold %
GSEC
11.61
HDFC Bank
5.72
GSEC
4.16
Punjab Natl.Bank
4.04
GSEC
3.98
I R F C
3.89
E X I M Bank
3.56
I R F C
3.08
HDFC Bank
2.77
Nuclear Power Co
2.72
Kotak Mah. Bank
2.65
NTPC
2.61
N A B A R D
2.43
Canara Bank
2.33
N A B A R D
2.33
REC Ltd
2.31
GSEC
2.12
Axis Bank
1.80
REC Ltd
1.78
H P C L
1.74
REC Ltd
1.74
I O C L
1.72
Power Fin.Corpn.
1.67
GSEC
1.51
E X I M Bank
1.48
N A B A R D
1.48
N A B A R D
1.39
S I D B I
1.37
N A B A R D
1.31
I R F C
1.30
Natl. Hous. Bank
1.12
Natl. Hous. Bank
1.12
Natl. Hous. Bank
1.12
NTPC
1.11
Power Fin.Corpn.
0.92
TREPS
0.75
HDFC Bank
0.74
Kotak Mah. Bank
0.70
Axis Bank
0.70
Natl. Hous. Bank
0.67
Power Grid Corpn
0.58
HDFC Bank
0.48
Nuclear Power Co
0.41
Power Grid Corpn
0.38
NTPC
0.37
REC Ltd
0.37
Bank of Baroda
0.35
Union Bank (I)
0.35
Union Bank (I)
0.35
ICICI Bank
0.34
REC Ltd
0.30
Power Grid Corpn
0.21
NTPC
0.19
NTPC
0.19
NHPC Ltd
0.19
I O C L
0.18
E X I M Bank
0.18
Nuclear Power Co
0.15
Nuclear Power Co
0.08
Power Grid Corpn
0.07
N A B A R D
0.07
NHPC Ltd
0.07
Power Grid Corpn
0.04
Power Grid Corpn
0.04
Power Fin.Corpn.
0.04
GSEC
0.01
Net CA & Others
2.16
CDMDF (Class A2)
0.30
C C I
0.00