Bandhan Multi Asset Allocation Fund Direct IDCW

Hybrid
Multi Asset Allocation
Very High Risk
1M
6M
1Y
All
NAV: 25 Sep 2025
₹13.07
Rating
NA
Min. SIP amount
₹100
Fund size
₹2,124.75Cr

Return calculator

Monthly SIP
One-Time
₹5,000 per month
Over the past
Total investment of 0
Would have become (%)

Holdings (131)

NameSectorInstrumentAssets
iShares MSCI ACWI UCITS ETF USD (Acc)
OthersForeign MF9.56%
NAMutual Fund6.70%
SovereignGOI Sec6.67%
NAMutual Fund5.70%
EnergyEquity4.43%
FinancialEquity4.03%
FinancialEquity2.28%
FinancialEquity2.24%
TechnologyEquity2.13%
TechnologyEquity1.91%
FinancialEquity1.75%
Metals & MiningEquity1.64%
CommunicationEquity1.62%
ServicesEquity1.56%
FinancialEquity1.39%
EnergyEquity1.17%
FinancialEquity1.06%
AutomobileEquity0.87%
AutomobileEquity0.87%
HealthcareEquity0.75%
TechnologyEquity0.75%
Consumer StaplesEquity0.69%
FinancialEquity0.68%
ServicesEquity0.66%
FinancialEquity0.64%
InsuranceEquity0.64%
FinancialEquity0.63%
ChemicalsEquity0.63%
FinancialEquity0.63%
Consumer StaplesEquity0.62%
Capital GoodsEquity0.58%
Consumer StaplesEquity0.57%
AutomobileEquity0.56%
Consumer StaplesEquity0.54%
EnergyEquity0.53%
FinancialEquity0.53%
InsuranceEquity0.53%
Metals & MiningEquity0.52%
FinancialEquity0.52%
CommunicationEquity0.52%
ServicesEquity0.51%
Consumer DiscretionaryEquity0.51%
TextilesEquity0.51%
ConstructionEquity0.51%
AutomobileEquity0.51%
FinancialEquity0.49%
Metals & MiningEquity0.49%
ChemicalsEquity0.49%
ServicesEquity0.49%
HealthcareEquity0.49%
Consumer StaplesEquity0.49%
AutomobileEquity0.48%
HealthcareEquity0.48%
TechnologyEquity0.48%
ServicesEquity0.48%
FinancialEquity0.48%
HealthcareEquity0.47%
ServicesEquity0.46%
Capital GoodsEquity0.46%
FinancialEquity0.46%
Metals & MiningEquity0.45%
ServicesEquity0.44%
AutomobileEquity0.44%
EnergyEquity0.44%
Consumer DiscretionaryEquity0.44%
FinancialEquity0.44%
EnergyEquity0.44%
Capital GoodsEquity0.42%
Consumer StaplesEquity0.41%
ConstructionEquity0.41%
InsuranceEquity0.41%
ConstructionEquity0.40%
Capital GoodsEquity0.39%
Consumer DiscretionaryEquity0.39%
HealthcareEquity0.39%
Consumer StaplesEquity0.38%
Capital GoodsEquity0.37%
ServicesEquity0.37%
ConstructionEquity0.34%
Metals & MiningEquity0.34%
HealthcareEquity0.33%
HealthcareEquity0.31%
ServicesEquity0.31%
ServicesEquity0.29%
FinancialEquity0.28%
ConstructionEquity0.28%
FinancialEquity0.28%
Consumer StaplesEquity0.27%
ServicesEquity0.25%
Metals & MiningEquity0.24%
FinancialEquity0.24%
AutomobileEquity0.24%
AutomobileEquity0.24%
FinancialEquity0.23%
Consumer StaplesEquity0.23%
DiversifiedEquity0.20%
Metals & MiningEquity0.19%
ServicesEquity0.18%
TechnologyEquity0.18%
TechnologyEquity0.17%
ChemicalsEquity0.15%
TechnologyEquity0.13%
InsuranceEquity0.13%
HealthcareEquity0.12%
TechnologyEquity0.12%
Consumer StaplesEquity0.05%
EnergyEquity0.01%
Power Grid Corporation Of India Ltd.
EnergyFutures-0.01%
Hindustan Unilever Ltd.
Consumer StaplesFutures-0.05%
SBI Life Insurance Company Ltd.
InsuranceFutures-0.13%
Mahindra & Mahindra Ltd.
AutomobileFutures-0.15%
Hindalco Industries Ltd.
Metals & MiningFutures-0.20%
JSW Steel Ltd.
Metals & MiningFutures-0.25%
Indusind Bank Ltd.
FinancialFutures-0.28%
Cipla Ltd.
HealthcareFutures-0.31%
Lupin Ltd.
HealthcareFutures-0.33%
NTPC Ltd.
EnergyFutures-0.39%
Tata Motors Ltd.
AutomobileFutures-0.45%
Tata Steel Ltd.
Metals & MiningFutures-0.53%
PNB Housing Finance Ltd.
FinancialFutures-0.53%
Tata Power Company Ltd.
EnergyFutures-0.54%
Bank Of Baroda
FinancialFutures-0.63%
Infosys Ltd.
TechnologyFutures-0.71%
Tata Consultancy Services Ltd.
TechnologyFutures-0.90%
Info Edge (India) Ltd.
ServicesFutures-0.99%
Bharti Airtel Ltd.
CommunicationFutures-1.01%
Axis Bank Ltd.
FinancialFutures-1.23%
Bajaj Finance Ltd.
FinancialFutures-1.26%
NMDC Ltd.
Metals & MiningFutures-1.26%
HDFC Bank Ltd.
FinancialFutures-1.49%
Reliance Industries Ltd.
EnergyFutures-2.59%
See All

Minimum investment amounts

Min. for 1st investment₹1,000
Min. for 2nd investment onwards₹1,000
Min. for SIP₹100

Returns and rankings

Category: Hybrid Multi Asset Allocation
Absolute returns
3M6M1YAll
Fund returns5.9%14.8%10.0%31.3%
Category averageNANA5.3%NA
Rank with in category437NA
Understand terms

Expense ratio, exit load and tax

Expense ratio: 0.48%

Inclusive of GST

Exit load

Exit Load for units in excess of 10% of the investment,0.5% will be charged for redemption within 1 year.

Stamp duty

0.005% (from July 1st, 2020)

Tax implication

If you redeem within one year, returns are taxed at 20%. If you redeem after one year, returns exceeding Rs 1.25 lakh in a financial year are taxed at 12.5%.

Understand terms
Check past data

Fund management

Fund house & investment objective

Fund house contact details

Address
One World Centre, 6th Floor, Tower 1C,Senapati Bapat Marg, Prabhadevi Mumbai 400013
Phone
NA
Launch Date
20 Dec 1999
E-mail
NA
Bandhan Mutual Fund
Asset Management Company
Custodian
Deutsche Bank
Registrar & Transfer Agent
Cams
Address
7th Floor, Tower II, Rayala Towers, 158, Anna Salai,

Compare funds

Bandhan Multi Asset Allocation Fund Direct IDCW
VS
Add mutual fund to compare