Previously Known As : Idfc Dynamic Bond Fund
Bandhan Dynamic Bond Fund Overview
Category Dynamic Bond Fund
BMSMONEY Rank 16
Rating
Growth Option 07-03-2025
NAV ₹33.05(R) +0.1% ₹36.64(D) +0.1%
Returns 1Y 3Y 5Y 7Y 10Y
Lumpsum Regular 6.08% 5.79% 5.5% 7.16% 6.93%
Direct 7.01% 6.7% 6.41% 8.05% 7.82%
Benchmark
SIP (XIRR) Regular 5.38% 7.16% 4.42% 5.3% 6.2%
Direct 6.3% 8.09% 5.31% 6.2% 7.1%
Ratio Sharpe Ratio Sortino Ratio Sterling Ratio Jensen's Alpha Treynor Ratio
-0.38 -0.14 0.43 -% -
Risk STD. Dev VaR 1Y95% Max DD Beta Semi Devi.
3.24% -4.7% -2.79% - 2.36%

NAV Date: 07-03-2025

Scheme Name NAV Rupee Change Percent Change
BANDHAN Dynamic Bond Fund - Regular Plan B - Half Yearly IDCW 10.6
0.0100
0.1000%
BANDHAN Dynamic Bond Fund-Direct Plan-Half Yearly IDCW 10.82
0.0100
0.1000%
BANDHAN Dynamic Bond Fund-Direct Plan-Annual IDCW 12.21
0.0100
0.1000%
BANDHAN Dynamic Bond Fund - Regular Plan B - IDCW 12.64
0.0100
0.1000%
BANDHAN Dynamic Bond Fund-Direct Plan-Periodic IDCW 12.85
0.0100
0.1000%
BANDHAN Dynamic Bond Fund - Regular Plan B - Periodic IDCW 13.13
0.0100
0.1000%
BANDHAN Dynamic Bond Fund-Direct Plan-Quarterly IDCW 13.28
0.0100
0.1000%
BANDHAN Dynamic Bond Fund-Direct Plan-IDCW 15.73
0.0200
0.1000%
BANDHAN Dynamic Bond Fund - Regular Plan B - Growth 33.05
0.0300
0.1000%
BANDHAN Dynamic Bond Fund-Direct Plan-Growth 36.64
0.0400
0.1000%

Review Date: 07-03-2025


Disclaimer: Past performance may or may not be sustained in future and should not be used as a basis for comparison with other investments. Returns for periods above 1 year are annualised.


Date Bandhan Dynamic Bond Fund NAV Regular Growth Bandhan Dynamic Bond Fund NAV Direct Growth
07-03-2025 33.0526 36.6358
06-03-2025 33.0197 36.5985
05-03-2025 32.9082 36.4741
04-03-2025 32.7894 36.3416
03-03-2025 32.7834 36.334
28-02-2025 32.8027 36.3528
27-02-2025 32.8411 36.3945
25-02-2025 32.9211 36.4815
24-02-2025 32.935 36.496
21-02-2025 32.924 36.4813
20-02-2025 32.9851 36.5481
18-02-2025 33.0289 36.5948
17-02-2025 33.0227 36.5872
14-02-2025 33.0277 36.59
13-02-2025 32.9815 36.538
12-02-2025 33.0451 36.6076
11-02-2025 33.0366 36.5973
10-02-2025 33.0388 36.5989
07-02-2025 33.0664 36.6269

Fund Launch Date: 25/Jun/2002
Fund Category: Dynamic Bond Fund
Investment Objective: To generate optimal returns by active management of the portfolio by investing in debt and money market instruments across maturities.
Fund Description: An open ended dynamic debt scheme investing across duration
Fund Benchmark: CRISIL Composite Bond Fund Index
Source: Fund FactSheet

Disclaimer: NO INVESTMENT ADVICE. The Content is for informational purposes only.