Fund Overview IDCW | Direct Plan

  • Fund House

  • Launch Date

  • Benchmark

  • Minimum Investment (₹)

  • Minimum Addl Investment (₹)

  • Exit Load (%)

  • Minimum SIP Investment (₹)

  • Minimum STP Investment (₹)

  • Minimum SWP Investment (₹)

  • 52 Week Low Nav (₹)

  • 52 Week Low Nav Date

  • 52 Week High Nav (₹)

  • 52 Week High Nav Date

Fund Objective

The Scheme seeks to generate returns through investments in debt and money market instruments predominantly issued by entities such as Banks, Public Sector Undertakings PSUs) and Public Financial Institutions (PFIs).

Fund Performance

Scheme Name 1-Month Return (%) 3-Month Return (%) 1-Year Return (%) 3-Year Return (%) 5-Year Return (%) Since Inception
Bandhan Banking & PSU Debt Fund - Direct Fortnightly IDCW 12.47 12.04 9.27 7.48 6.77 6.62
Crisil 10 Yr Gilt Index N/A N/A N/A N/A N/A N/A
NIFTY Banking and PSU Debt Index N/A N/A N/A N/A N/A N/A

Returns upto 1 year is Annualised, and above 1 year are Compounded Annualised

Peer Fund Comparison

Scheme Name Launch Date Ratings 1-Year Return (%) 3-Year Return (%) 5-Year Return (%) Expense Ratio (%) Assets (Cr.)
Bandhan Banking & PSU Debt Fund - Direct Fortnightly IDCW Mar 13, 2013 9.27 7.48 6.77 0.33 13,560.19
Bandhan Banking & PSU Debt Fund - Direct Annual IDCW Feb 04, 2020 9.47 7.70 7.02 0.33 13,560.19
Bandhan Banking & PSU Debt Fund - Direct Daily IDCW Feb 10, 2014 9.33 7.47 6.76 0.33 13,560.19
Bandhan Banking & PSU Debt Fund - Direct IDCW Mar 07, 2013 9.14 7.39 6.72 0.33 13,560.19
Bandhan Banking & PSU Debt Fund - Direct Monthly IDCW Mar 13, 2013 9.14 7.39 6.72 0.33 13,560.19
Bandhan Banking & PSU Debt Fund - Direct Quarterly IDCW Apr 09, 2014 9.14 7.39 6.72 0.33 13,560.19

Fund Holdings as on 30-April-2025

  • 7.18% Government of India

  • 7.1% Government of India

  • 6% HDFC Bank Limited

  • 7.7% National Bank For Agriculture and Rural Development

  • Punjab National Bank **

  • 7.4% Indian Railway Finance Corporation Limited

  • Export Import Bank of India **

  • 7.51% Indian Railway Finance Corporation Limited

  • 7.7% HDFC Bank Limited

  • 7.7% Nuclear Power Corporation Of India Limited **

  • Kotak Mahindra Bank Limited **

  • 7.58% NTPC Limited **

  • Canara Bank **

  • 5.94% REC Limited **

  • 7.8% National Bank For Agriculture and Rural Development

  • 7.17% State Government Securities

  • Triparty Repo TRP_020525

  • 5.85% REC Limited **

  • 7.6% REC Limited

  • 7.74% Hindustan Petroleum Corporation Limited **

  • 7.44% Indian Oil Corporation Limited **

  • 7.64% Power Finance Corporation Limited **

  • Net Current Assets

  • 6.79% Government of India

  • 7.09% State Government Securities

  • 7.32% Export Import Bank of India **

  • 7.11% Small Industries Dev Bank of India **

  • 7.53% National Bank For Agriculture and Rural Development

  • 7.23% Indian Railway Finance Corporation Limited **

  • 7.59% National Housing Bank **

  • 7.59% National Housing Bank **

  • 7.77% National Housing Bank **

  • 7.13% Power Finance Corporation Limited **

  • 7.35% Export Import Bank of India

  • 7.95% HDFC Bank Limited **

  • 7.4% National Bank For Agriculture and Rural Development **

  • Bank of Baroda

  • Axis Bank Limited **

  • National Bank For Agriculture and Rural Development **

  • 7.34% National Housing Bank

  • 8.24% Power Grid Corporation of India Limited **

  • 7.25% Nuclear Power Corporation Of India Limited **

  • 7.89% Power Grid Corporation of India Limited **

  • 7.47% NTPC Limited **

  • 7.25% Export Import Bank of India **

  • 7.51% REC Limited **

  • Union Bank of India **

  • Union Bank of India **

  • Bank of Baroda **

  • 8.4% ICICI Bank Limited **

  • Corporate Debt Market Development Fund Class A2

  • 7.55% REC Limited

  • 8.7% Power Grid Corporation of India Limited **

  • 7.32% NTPC Limited **

  • 8.19% NTPC Limited **

  • 7.5% NHPC Limited **

  • 5.85% Export Import Bank of India **

  • 5.81% REC Limited **

  • 6.14% Indian Oil Corporation Limited **

  • 8.4% Nuclear Power Corporation Of India Limited **

  • 7.5% National Bank For Agriculture and Rural Development

  • 8.13% Nuclear Power Corporation Of India Limited **

  • 7.48% National Bank For Agriculture and Rural Development

  • 8.93% Power Grid Corporation of India Limited **

  • 7.52% NHPC Limited **

  • 8.85% Power Grid Corporation of India Limited **

  • 8.75% Power Finance Corporation Limited **

  • 7.18% State Government Securities

  • Cash Margin - CCIL

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  • Miscellaneous

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Fund Manager

Most Recent Dividend

  • 07/05/2025

  • 23/04/2025

  • 09/04/2025

  • 26/03/2025

  • 12/03/2025

  • 27/02/2025

  • 12/02/2025

  • 29/01/2025

  • 15/01/2025

  • 01/01/2025

  • 18/12/2024

  • 04/12/2024

  • 21/11/2024

  • 06/11/2024

  • 23/10/2024

  • 09/10/2024

  • 25/09/2024

  • 11/09/2024

  • 28/08/2024

  • 14/08/2024

  • 31/07/2024

  • 18/07/2024

  • 03/07/2024

  • 19/06/2024

  • 05/06/2024

  • 22/05/2024

  • 08/05/2024

  • 24/04/2024

  • 10/04/2024

  • 27/03/2024

  • 13/03/2024

  • 28/02/2024

  • 14/02/2024

  • 31/01/2024

  • 17/01/2024

  • 03/01/2024

  • 20/12/2023

  • 06/12/2023

  • 22/11/2023

  • 08/11/2023

  • 25/10/2023

  • 27/09/2023

  • 13/09/2023

  • 30/08/2023

  • 17/08/2023

  • 02/08/2023

  • 19/07/2023

  • 05/07/2023

  • 21/06/2023

  • 07/06/2023

  • 24/05/2023

  • 10/05/2023

  • 26/04/2023

  • 12/04/2023

  • 29/03/2023

  • 15/03/2023

  • 01/03/2023

  • 15/02/2023

  • 01/02/2023

  • 18/01/2023

  • 04/01/2023

  • 21/12/2022

  • 07/12/2022

  • 23/11/2022

  • 09/11/2022

  • 27/10/2022

  • 12/10/2022

  • 14/09/2022

  • 01/09/2022

  • 17/08/2022

  • 03/08/2022

  • 20/07/2022

  • 06/07/2022

  • 27/04/2022

  • 30/03/2022

  • 16/03/2022

  • 02/03/2022

  • 16/02/2022

  • 02/02/2022

  • 19/01/2022

  • 05/01/2022

  • 22/12/2021

  • 08/12/2021

  • 24/11/2021

  • 10/11/2021

  • 27/10/2021

  • 13/10/2021

  • 15/09/2021

  • 01/09/2021

  • 18/08/2021

  • 04/08/2021

  • 22/07/2021

  • 09/06/2021

  • 27/05/2021

  • 12/05/2021

  • 28/04/2021

  • 15/04/2021

  • 31/03/2021

  • 06/01/2021

  • 09/12/2020

  • 25/11/2020

  • 11/11/2020

  • 28/10/2020

  • 14/10/2020

  • 02/09/2020

  • 19/08/2020

  • 05/08/2020

  • 22/07/2020

  • 08/07/2020

  • 24/06/2020

  • 10/06/2020

  • 27/05/2020

  • 13/05/2020

  • 29/04/2020

  • 03/04/2020

  • 04/03/2020

  • 20/02/2020

  • 05/02/2020

  • 22/01/2020

  • 08/01/2020

  • 11/12/2019

  • 13/11/2019

  • 30/10/2019

  • 16/10/2019

  • 03/10/2019

  • 18/09/2019

  • 04/09/2019

  • 21/08/2019

  • 07/08/2019

  • 24/07/2019

  • 10/07/2019

  • 26/06/2019

  • 12/06/2019

  • 29/05/2019

  • 03/04/2019

  • 20/03/2019

  • 06/03/2019

  • 20/02/2019

  • 23/01/2019

  • 09/01/2019

  • 26/12/2018

  • 12/12/2018

  • 28/11/2018

  • 14/11/2018

  • 31/10/2018

  • 17/10/2018

  • 03/10/2018

  • 23/08/2018

  • 08/08/2018

  • 25/07/2018

  • 11/07/2018

  • 27/06/2018

  • 18/04/2018

  • 04/04/2018

  • 21/03/2018

  • 07/03/2018

  • 21/02/2018

  • 07/02/2018

  • 24/01/2018

  • 10/01/2018

  • 13/12/2017

  • 29/11/2017

  • 01/11/2017

  • 18/10/2017

  • 04/10/2017

  • 06/09/2017

  • 23/08/2017

  • 09/08/2017

  • 26/07/2017

  • 12/07/2017

  • 14/06/2017

  • 17/05/2017

  • 03/05/2017

  • 19/04/2017

  • 05/04/2017

  • 22/03/2017

  • 08/03/2017

  • 22/02/2017

  • 08/02/2017

  • 25/01/2017

  • 11/01/2017

  • 28/12/2016

  • 14/12/2016

  • 30/11/2016

  • 16/11/2016

  • 02/11/2016

  • 19/10/2016

  • 05/10/2016

  • 21/09/2016

  • 07/09/2016

  • 24/08/2016

  • 10/08/2016

  • 27/07/2016

  • 13/07/2016

  • 29/06/2016

  • 15/06/2016

  • 01/06/2016

  • 18/05/2016

  • 04/05/2016

  • 20/04/2016

  • 06/04/2016

  • 23/03/2016

  • 09/03/2016

  • 24/02/2016

  • 10/02/2016

  • 27/01/2016

  • 13/01/2016

  • 30/12/2015

  • 16/12/2015

  • 02/12/2015

  • 18/11/2015

  • 04/11/2015

  • 21/10/2015

  • 07/10/2015

  • 23/09/2015

  • 09/09/2015

  • 26/08/2015

  • 12/08/2015

  • 29/07/2015

  • 15/07/2015

  • 01/07/2015

  • 17/06/2015

  • 03/06/2015

  • 20/05/2015

  • 06/05/2015

  • 22/04/2015

  • 08/04/2015

  • 25/03/2015

  • 11/03/2015

  • 25/02/2015

  • 11/02/2015

  • 28/01/2015

  • 14/01/2015

  • 31/12/2014

  • 17/12/2014

  • 03/12/2014

  • 19/11/2014

  • 05/11/2014

  • 22/10/2014

  • 08/10/2014

  • 24/09/2014

  • 10/09/2014

  • 27/08/2014

  • 13/08/2014

  • 30/07/2014

  • 16/07/2014

  • 02/07/2014

  • 18/06/2014

  • 04/06/2014

  • 21/05/2014

  • 07/05/2014

  • 23/04/2014

  • 09/04/2014

  • 26/03/2014

  • 12/03/2014

  • 26/02/2014

  • 12/02/2014

  • 29/01/2014

  • 15/01/2014

  • 01/01/2014

  • 18/12/2013

  • 04/12/2013

  • 20/11/2013

  • 06/11/2013

  • 23/10/2013

  • 09/10/2013

  • 25/09/2013

  • 11/09/2013

  • 02/07/2013

  • 18/06/2013

  • 04/06/2013

  • 21/05/2013

  • 07/05/2013

  • 23/04/2013

  • 09/04/2013

  • 26/03/2013

  • CARE A1+

  • CARE AAA

  • Cash

  • CRISIL A1+

  • CRISIL AAA

  • FITCH A1+

  • ICRA A1+

  • ICRA AAA

  • Sov

  • Unrated

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About Bandhan Banking & PSU Debt Fund

Scheme Analysis

Bandhan Banking & PSU Debt Fund is a Debt - Banking and PSU Fund fund and belongs to Bandhan Mutual Fund. It was launched on 13-Mar-2013 and currently has an AUM of ₹13,560.19 crore. Bandhan Banking & PSU Debt Fund is benchmarked against Crisil 10 Yr Gilt Index as primary index and NIFTY Banking and PSU Debt Index as secondary index.

The NAV of Bandhan Banking & PSU Debt Fund ended down ₹-0.01(-0.13%)yesterday to ₹10.4435.

Among its top 3 holdings the fund has exposure to 7.18% Government of India, and

The Bandhan Banking & PSU Debt Fund is managed by Suyash Choudhary and Gautam Kaul.

Fund House Contact

6th Floor, One World Centre, 841, Jupiter Mills Compound, Senapati Bapat Marg, Elphinstone Road (West), Mumbai - 400 013

022-66289999
022-24215052