Bandhan Mutual Fund Infrastructure Fund - Direct Plan - G... historical performance and returns
Bandhan Mutual Fund Infrastructure Fund - Direct Plan - Growth ki historical performance kaafi interesting hai. Is fund ne pichle 1 saal mein 3.6% ka return diya hai, jabki 3 saal ka return 20.82% hai aur 5 saal ka return 20.16% hai. Ye returns benchmark Nifty Infrastructure TRI se kaafi achhe hain, jo ki is fund ki strong positioning ko dikhata hai.
Jab hum iske returns ko benchmark se compare karte hain, toh humein consistency aur volatility ka pata chalta hai. Yeh fund fairly consistent raha hai, lekin volatile market conditions mein yeh kaafi impact ho sakta hai. Manish Gunwani, jo fund manager hain, unka experience bhi is fund ke returns par positive impact dalta hai.
Investors ko yeh yaad rakhna chahiye ki infrastructure sector mein growth cycles hote hain, jisse fund ki performance thodi fluctuate ho sakti hai. Isliye, long-term vision rakhna zaroori hai.
⚠️ Disclaimer: Educational only. Mutual funds are subject to market risks. Past performance does not guarantee future returns. Consult your SEBI-registered advisor.
Bandhan Mutual Fund Infrastructure Fund - Direct Plan - G... top holdings and portfolio allocation
Is fund ki top holdings mein kuch prominent companies shamil hain:
1. **HDFC Bank Ltd. (5.8%)**
2. **ICICI Bank Ltd. (5.2%)**
3. **Larsen & Toubro Ltd. (4.9%)**
4. **Reliance Industries Ltd. (4.5%)**
5. **Infosys Ltd. (4.1%)**
Iske alawa, fund sectors mein bhi kaafi diversify kiya gaya hai, jahan primarily banking, construction, aur IT sectors mein investments hain. Ye fund Nifty Infrastructure TRI ko benchmark karta hai, jo iski performance aur strategy ko align karta hai.
Portfolio allocation kaafi strategic hai, kyunki infrastructure industry mein growth potential high hai. Agar aap long-term growth ke liye invest karte hain, toh ye fund aapko achha exposure de sakta hai. Fund ka approach fundamental analysis par based hai, jisse long-term growth mein madad milti hai.
Bandhan Mutual Fund Infrastructure Fund - Direct Plan - G... riskometer and downside risk
Is fund ka riskometer "Very High" hai, jo indicate karta hai ki investors ko kaafi risk tolerance hona chahiye. Market volatility ke dauran, is fund ki value kaafi fluctuate ho sakti hai. Agar aap conservative investor hain ya short-term investment ke liye soch rahe hain, toh yeh fund aapke liye sahi nahi ho sakta.
Sharpe ratio jaise metrics available nahi hain, lekin volatility high hone ki wajah se yeh fund aggressive investors ke liye zyada suitable hai. Agar aapko long-term growth ke liye risk lene mein koi dikkat nahi hai, toh yeh fund aapke liye ek option ho sakta hai.