Fund Overview

Bandhan Asset Allocation FoF - Aggressive (G)

Get detailed information of scheme on investment, NAV, Performance.

Nav(₹)

44.75

Inception Date

11-02-2010

Category

Fund of Funds - Equity
Investment Objectives

To generate capital appreciation through investment in different mutual fund schemes primarily local funds based on a defined asset allocation model.

Risk O Meter
img
Performance
Scheme Name 3 Months (%) 6 Months (%) 1 Years (%) 3 Years (%) 5 Years (%) 10 Years (%) Since Inception
Bandhan Asset Allocation FoF - Aggressive (G) 6.88 3.40 10.62 16.07 18.24 9.58 10.31
Value of Investment in last

Lumpsum

1Lakh investment Grown to 1.08 Lakh

SIP

₹ 10000 Monthly SIP Grown to 1.21 Lakh

Benchmark

1Lakh investment Grown to 1.10 Lakh

img
Key Parameters
AUM(₹ Cr.) 20
Type OPEN ENDED
Entry Load Nil
Minimum investment(₹) 1000
Incrimental Investment(₹) 1000
Expense Ratio (%) 1.59
Benchmark CRISIL Hybrid 35+65 - Aggressive Index
Fund Manager Viraj Kulkarni
Exit If redeemed/switched out within 365 days from the date of allotment: Upto 10% of investment: Nil, For remaining investment: 1% of applicable NAV. If redeemed / switched out after 365 days from date of allotment: Nil.
Nav Movement
3M 6M 1Y 3Y 5Y Inception
AUM Movement
3M 6M 1Y 3Y 5Y Inception
Asset Allocation Pie chart
Top 10 Company Holdings
Company Asset Honding(%)
Bandhan Large Cap Fund - Direct (G) Indian Mutual Funds 57.49
Bandhan Liquid Fund - Direct (G) Indian Mutual Funds 12.97
Bandhan Low Duration Fund - Direct (G) Indian Mutual Funds 9.49
Bandhan Bond Fund - STP - Direct (G) Indian Mutual Funds 9.25
Bandhan Focused Equity Fund - Direct (G) Indian Mutual Funds 5.89
TREPS Reverse Repo 3.75
Bandhan Emerging Businesses Fund - Direct (G) Indian Mutual Funds 1.20
C C I Cash & Cash Equivalent 0.02
Net CA & Others Net CA & Others -0.06
Sector Holdings Pie Chart
Peer Comparision
Scheme Name AUM (Rs.in Cr.) 1 Years (%) 3 Years (%) 5 Years (%) Since Inception Inception Date Sharpe Std.Dev
Bandhan Asset Allocation FoF - Aggressive 19.60 10.62 16.07 18.24 10.31 11-Feb-2010 0.6708 2.83
Mirae Asset Hang Seng TECH ETF Fund of Fund 86.79 54.01 19.13 NA 5.00 08-Dec-2021 0.3646 12.43
Mirae Asset NYSE FANG+ ETF Fund of Fund 1,732.59 43.71 50.89 NA 30.08 10-May-2021 1.2592 7.36
Mirae Asset S&P 500 Top 50 ETF Fund of Fund 583.19 27.57 27.36 NA 20.29 22-Sep-2021 0.8902 5.08
ICICI Pru Thematic Advantage Fund (FOF) 2,982.03 20.87 22.64 29.77 15.21 29-Dec-2003 1.0878 3.26
Motilal Oswal Nasdaq 100 FOF 4,859.29 19.03 23.83 20.60 21.75 03-Dec-2018 0.6407 6.63
Kotak NASDAQ 100 Fund of Fund 2,874.96 17.64 23.66 NA 15.05 02-Feb-2021 0.6568 5.29
Navi NASDAQ 100 Fund of Fund 908.38 17.58 23.83 NA 16.51 23-Mar-2022 0.6743 5.61
Aditya Birla SL NASDAQ 100 FOF 345.88 17.56 24.33 NA 11.71 01-Nov-2021 0.6389 4.99
Invesco India - Invesco EQQQ NASDAQ-100 ETF Fund of Fund 328.31 17.53 23.68 NA 18.87 21-Apr-2022 0.6614 5.55
 123456...