Bandhan Mutual Fund Debt Fund - Regular Plan - Growth historical performance and returns
Ab dekhte hain is fund ki historical performance ko benchmark se compare karke. Bandhan Mutual Fund Debt Fund - Regular Plan - Growth ne kuch aise returns diye hain:
| Time Frame |
Fund Returns (%) |
Benchmark Returns (%) |
| 1 Year |
0.79% |
3.12% |
| 3 Years |
6.32% |
5.25% |
| 5 Years |
5.3% |
4.80% |
Yeh comparison dikhata hai ki is fund ne 3 saal aur 5 saal ki duration mein benchmark se achha perform kiya hai, jabki 1 saal mein performance comparatively weak hai. Volatility ki baat karein, to is fund ka riskometer moderate hai, jo indicate karta hai ki iski returns mein kuch fluctuations ho sakte hain, lekin overall risk control mein hai. Fund manager Manish Gunwani ka 3.5 saal ka tenure bhi is fund ki consistency ko maintain karne mein madadgar raha hai. Investors jo ek stable aur moderate risk portfolio chahte hain, unhe yeh fund consider karna chahiye.
Bandhan Mutual Fund Debt Fund - Regular Plan - Growth portfolio breakdown for investors
Is fund ka portfolio kaafi diversified hai, jisme top holdings include karti hain:
- National Bank For Agriculture And Rural Development: 5.8%
- Power Finance Corporation Ltd.: 5.2%
- Rural Electrification Corporation Ltd.: 4.9%
- 7.26% GOI 2032: 4.5%
- State Bank of India: 4.1%
Yeh holdings fund ki strategy ke according hain jo ki stable aur secure returns dena hai. Sectors ki allocation mein financial services, government securities aur infrastructure ko achha importance diya gaya hai. Iska matlab hai ki yeh fund un sectors mein bhi invest karta hai jahan growth potential hai, lekin risk kaafi control mein hai. Overall, portfolio ka aim hai ki investors ko long-term stability aur moderate growth mile.
Bandhan Mutual Fund Debt Fund - Regular Plan - Growth risk analysis and volatility
Is fund ka riskometer moderate hai, jo ki indicate karta hai ki yeh kuch risk to involve karta hai, lekin yeh manageable hai. Agar aapka risk appetite moderate hai, to yeh fund aapke liye sahi ho sakta hai. Volatility ki baat karein, to is fund ka expense ratio bhi 1.05% hai, jo iske operating costs ko cover karta hai. Fund ko samajhne ke liye yeh zaroori hai ki aapko pata ho ki yeh kis tarah ki securities mein invest karta hai aur unka risk profile kya hai. Is fund ko un investors ke liye recommend kiya jata hai jo stable returns ke saath moderate risk lena chahte hain.