Bandhan Liquid Fund - Direct (IDCW-W)
Summary Info
Fund Name Bandhan Mutual Fund
Scheme Name Bandhan Liquid Fund - Direct (IDCW-W)
AMC Bandhan Mutual Fund
Type Open
Category Liquid Fund
Launch Date 01-Jan-13
Fund Manager Harshal Joshi
Net Assets ( Cr.) 13,834.70
NAV Graph
  One Month   Three Month   Six Month   One Year   Three Year   Five Year
Latest Payouts
Dividends Bonus
Ratio 0.1174516% 0
Date 10-Jan-25 0
Performance(%)
1 Week[%] 1 Month[%] 3 Month[%] 6 Month[%] 1 Year[%] 3 Year[%] 5 Year[%] Since INC[%]
Scheme Return 0.12 0.58 1.74 3.58 7.41 6.53 5.37 6.75
Category Avg 0.09 0.52 1.60 3.31 6.89 6.16 5.12 6.30
Category Best 0.17 0.75 2.84 6.98 15.81 10.87 8.03 62.53
Category Worst -0.19 -1.05 -0.00 0.00 -0.03 0.00 0.00 0.00
Holdings
Comapany Name Hold %
N A B A R D 7.13
TBILL-91D 5.19
Reliance Jio 5.00
HDFC Bank 4.67
TBILL-91D 3.94
Bank of Baroda 3.59
Punjab Natl.Bank 3.59
TBILL-91D 3.59
Canara Bank 3.57
L&T Finance Ltd 2.87
N A B A R D 2.86
HDFC Bank 2.78
Indian Bank 2.67
Reliance Industr 2.51
Bank of Baroda 2.16
Tata Steel 2.15
Tata Capital 2.15
Canara Bank 1.96
Bank of Baroda 1.79
Union Bank (I) 1.79
M & M Fin. Serv. 1.79
HDFC Securities 1.79
Rel. Retail Vent 1.79
Axis Bank 1.78
Punjab Natl.Bank 1.78
Kotak Mah. Bank 1.61
Punjab Natl.Bank 1.60
Panatone Finvest 1.44
Axis Secur. Ltd 1.44
HDFC Bank 1.43
Canara Bank 1.43
Kotak Securities 1.43
TBILL-91D 1.43
Kotak Securities 1.25
Axis Secur. Ltd 1.25
Union Bank (I) 1.08
TBILL-364D 1.08
TBILL-91D 1.08
Tata Steel 1.07
HDFC Bank 1.07
Indian Bank 1.07
HDFC Bank 0.90
N A B A R D 0.90
Punjab Natl.Bank 0.89
Cholaman.Inv.&Fn 0.72
Bajaj Finance 0.72
Kotak Mahindra P 0.72
TBILL-364D 0.72
Union Bank (I) 0.71
Tata Motors Fina 0.71
HDFC Securities 0.54
Kotak Securities 0.53
HDFC Bank 0.36
Canara Bank 0.36
E X I M Bank 0.36
ICICI Securities 0.36
HDFC Securities 0.36
TBILL-91D 0.36
ICICI Securities 0.21
Cholaman.Inv.&Fn 0.18
Cholaman.Inv.&Fn 0.18
ICICI Securities 0.18
ICICI Securities 0.18
Panatone Finvest 0.18
Barclays Invest 0.18
TBILL-364D 0.18
Kotak Mah. Bank 0.18
HDFC Bank 0.14
TREPS 0.09
CDMDF (Class A2) 0.26
C C I 0.00
Net CA & Others -8.01