Bandhan Banking & PSU Debt Fund (IDCW-D)
Summary Info
Fund Name Bandhan Mutual Fund
Scheme Name Bandhan Banking & PSU Debt Fund (IDCW-D)
AMC Bandhan Mutual Fund
Type Open
Category Banking and PSU Fund
Launch Date 13-Feb-14
Fund Manager Suyash Choudhary
Net Assets ( Cr.) 13,368.58
NAV Graph
  One Month   Three Month   Six Month   One Year   Three Year   Five Year
Latest Payouts
Dividends Bonus
Ratio 0.0324185% 0
Date 07-Jan-25 0
Performance(%)
1 Week[%] 1 Month[%] 3 Month[%] 6 Month[%] 1 Year[%] 3 Year[%] 5 Year[%] Since INC[%]
Scheme Return 0.09 0.37 1.59 3.86 7.70 6.22 6.56 7.46
Category Avg 0.13 0.34 1.42 3.83 7.84 6.16 6.34 7.00
Category Best 0.20 0.59 2.12 5.14 10.34 8.54 7.42 8.97
Category Worst -0.07 -0.82 -0.44 -0.31 -0.33 3.26 4.13 0.63
Holdings
Comapany Name Hold %
GSEC 12.75
GSEC 8.98
I R F C 5.42
I R F C 4.23
GSEC 4.12
GSEC 3.70
E X I M Bank 3.51
Kotak Mah. Bank 3.14
Nuclear Power Co 2.72
NTPC 2.63
REC Ltd 2.58
E X I M Bank 2.28
I O C L 2.10
N A B A R D 2.05
Power Fin.Corpn. 1.86
Kotak Mah. Bank 1.85
Axis Bank 1.78
H P C L 1.75
N A B A R D 1.68
Power Fin.Corpn. 1.68
Natl. Hous. Bank 1.54
E X I M Bank 1.49
Natl. Hous. Bank 1.32
REC Ltd 1.31
ICICI Bank 1.29
HDFC Bank 1.28
NTPC 1.12
S I D B I 1.00
HDFC Bank 0.93
Power Fin.Corpn. 0.93
REC Ltd 0.93
HDFC Bank 0.90
ICICI Bank 0.90
E X I M Bank 0.74
Canara Bank 0.70
Natl. Hous. Bank 0.67
Power Grid Corpn 0.58
REC Ltd 0.57
N A B A R D 0.56
Natl. Hous. Bank 0.38
HDFC Bank 0.37
ICICI Bank 0.37
Axis Bank 0.37
Punjab Natl.Bank 0.37
NTPC 0.37
S I D B I 0.37
Power Fin.Corpn. 0.37
Natl. Hous. Bank 0.37
REC Ltd 0.37
ICICI Bank 0.34
HDFC Bank 0.30
TREPS 0.24
Nuclear Power Co 0.22
Power Grid Corpn 0.21
HDFC Bank 0.19
Power Grid Corpn 0.19
NTPC 0.19
NHPC Ltd 0.19
HDFC Bank 0.18
NTPC 0.18
E X I M Bank 0.18
REC Ltd 0.18
Nuclear Power Co 0.15
HDFC Bank 0.11
Power Grid Corpn 0.08
Nuclear Power Co 0.08
Power Grid Corpn 0.04
Power Grid Corpn 0.04
S I D B I 0.04
Power Fin.Corpn. 0.04
Bajaj Housing 0.04
GSEC 0.01
Net CA & Others 3.00
CDMDF (Class A2) 0.30
C C I 0.00