Bandhan Nifty100 Low Volatility 30 Index Fund Regular-Growth
Equity
Large Cap
₹0.28% 1D
NAV on
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Overview
Returns
Asset Allocation
Fund Info
Risk & Return Ratio
Fund Summary
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Fund Overview
Rating
3
Minimum Investment
₹1000
NAV (Net Asset Value)
₹N/A
AUM (Fund size)
₹1653 Cr
Created on
4 Oct 2022
Fund Ranking
#61
/ 133 in Large Cap
Risk Level
Very High
Very High
Returns
Trailing Return
Rolling Return
6 Month
-5.6%
1 Year
0.1%
3 Year (CAGR)
11.0%
All Time (CAGR)
11.9%
Category Return
6 Month
-3.1%
1 Year
0.5%
3 Year (CAGR)
11.9%
All Time (CAGR)
-
Asset Allocation
Equity
99.8%
Other
0.2%
Top 5 Holdings
Top 5 Sectors
Apollo Hospitals Enterprise
3.72%
Asian Paints
3.68%
Berger Paints India
2.82%
Britannia Industries
3.12%
Cipla
3.71%
Fund Information
Expense Ratio
1.02%
Exit Load
No Exit Load
Lock-In Period
No Lock-In
Managed By
Nemish Sheth
Sep 2022 - Present
Abhishek Jain
March 2025 - Present
Mayuresh Nagvekar
Feb 2026 - Present
Risk & Return Ratio
Sharpe Ratio
Sharpe Ratio evaluates a fund's return relative to its risk. Higher values signify better risk-adjusted performance.
0.41
Standard Deviation
Standard deviation measures the volatility of a fund's returns. The higher the value, the riskier the investment.
14.43
Alpha
Alpha in mutual funds measures excess return relative to a benchmark, indicating a manager's skill at generating returns beyond market performance.
0.54
Beta
Beta in mutual funds indicates a fund's sensitivity to market changes. A beta over 1 means it's more volatile than the market, while below 1 implies less volatility.