Bandhan Nifty100 Low Volatility 30 Index Fund§

An open-ended scheme tracking Nifty100 Low Volatility 30 Index

31st May 2023

Bandhan Nifty100 Low Volatility 30 Index Fund§

An open-ended scheme tracking Nifty100 Low Volatility 30 Index

31st May 2023

About the Fund : The investment objective of the Scheme is to replicate the Nifty100 Low Volatility 30 index by investing in securities of the Nifty100 Low Volatility 30 Index in the same proportion / weightage with an aim to provide returns before expenses that closely correspond to the total return of Nifty100 Low Volatility 30 Index, subject to tracking errors
Category: Index Fund
Monthly Avg AUM : ₹ 7.01 Crores

AUM or assets under management refers to the recent / updated cumulative market value of investments managed by a mutual fund or any investment firm.

Monthly end AUM : ₹ 7.20 Crores

AUM or assets under management refers to the recent / updated cumulative market value of investments managed by a mutual fund or any investment firm.

Inception Date: 06 October, 2022
Fund Manager :

An employee of the asset management company such as a mutual fund or life insurer, who manages investments of the scheme. He is usually part of a larger team of fund managers and research analysts.

Mr. Nemish Sheth
Total Expense Ratio
Regular1.00%
Direct0.32%
Benchmark: Nifty100 Low Volatility 30 TRI
SIP (Minimum Amount): ₹ 100/- and in multiples of Re. 1 thereafter
SIP Frequency: Monthly/Quarterly (w.e.f. 09-11-2022)
SIP Dates (Monthly/Quarterly)@@: Investor may choose any day of the month except 29th, 30th and 31st as the date of instalment.
Investment Objective: Click here
Minimum Investment Amount : ₹ 1,000/- in multiples of Re. 1/- thereafter
Option Available: Growth, IDCW@ - (Payout, Reinvestment and Sweep (from Equity Schemes to Debt Schemes only))
Exit Load :

Exit load is charged at the time an investor redeems the units of a mutual fund. The exit load is deducted from the prevailing NAV at the time of redemption. For instance, if the NAV is ₹ 100 and the exit load is 1%, the redemption price would be ₹ 99 per unit.

Nil
NAV (₹) as on May 31, 2023
Regular PlanGrowth10.82
Regular Plan IDCW@10.82
@Income Distribution and Capital Withdrawal
@@If SIP day falls on a non-business day, the SIP transaction shall be processed on the next business day.
Portfolio Beta, Standard Deviation, R Squared, Sharpe Ratio and Tracking Error of the Scheme is not computed owing to the short time frame (<3years) since launch of the Scheme


Name% of NAV
Equity and Equity related Instruments 99.86%
IT - Software 15.84%
oTata Consultancy Services 3.56%
oWipro 3.51%
oHCL Technologies 3.49%
Infosys 2.67%
Tech Mahindra 2.62%
Pharmaceuticals & Biotechnology 10.35%
oSun Pharmaceutical Industries 3.55%
oCipla 3.51%
Dr. Reddy's Laboratories 3.29%
Food Products 7.97%
oNestle India 4.40%
oBritannia Industries 3.58%
Diversified FMCG 7.55%
oITC 4.24%
Hindustan Unilever 3.31%
Automobiles 7.23%
oBajaj Auto 3.82%
Hero MotoCorp 3.41%
Banks 7.20%
oKotak Mahindra Bank 4.01%
HDFC Bank 3.20%
Power 6.46%
Power Grid Corporation of India 3.30%
NTPC 3.16%
Petroleum Products 6.46%
Reliance Industries 3.25%
Indian Oil Corporation 3.21%
Consumer Durables 6.39%
Asian Paints 3.29%
Berger Paints (I) 3.10%
Insurance 6.20%
SBI Life Insurance Company 3.18%
HDFC Life Insurance Company 3.02%
Personal Products 5.73%
Colgate Palmolive (India) 2.91%
Dabur India 2.82%
Construction 3.28%
Larsen & Toubro 3.28%
Agricultural Food & other Products 3.11%
Marico 3.11%
Chemicals & Petrochemicals 3.05%
Pidilite Industries 3.05%
Cement & Cement Products 3.04%
UltraTech Cement 3.04%
Net Cash and Cash Equivalent 0.14%
Grand Total 100.00%
oTop 10 Equity Holdings


IT - Software 15.84%
Pharmaceuticals & Biotechnology 10.35%
Food Products 7.97%
Diversified FMCG 7.55%
Automobiles 7.23%
Banks 7.20%
Power 6.46%
Petroleum Products 6.46%
Consumer Durables 6.39%
Insurance 6.20%
Personal Products 5.73%
Construction 3.28%
Agricultural Food & other Products 3.11%
Chemicals & Petrochemicals 3.05%
Cement & Cement Products 3.04%



Note: Simple annualized returns have been provided as per the extant guidelines since the scheme has completed 6 months but not 1 year. However, such returns may not be representative. Absolute return of the Scheme for the 6 month period is 1.58%.
Click here for other funds managed by the fund manager and refer to the respective fund pages
Other parameters relating to performance and SIP are not disclosed as the fund has not completed 1 year.
"Where the scheme has been in existence for less than six months past performance shall not be provided. Further, if the scheme has been in existence for more than six months but less than one year, then simple annualized growth rate of the scheme for the past 6 months from the last day of month-end preceding the date of advertisement shall be provided."
Disclaimer: There is no assurance or guarantee that the objectives of the scheme will be realised.


Scheme risk-o-meter

Investors understand that their principal will be at Very High risk

This product is suitable for investors who are seeking*

  • Create wealth over a long term.
  • Investment in equity and equity related instruments belonging to Nifty100 Low Volatility 30 Index.

* Investors should consult their financial advisers if in doubt about whether the product is suitable for them.

Benchmark risk-o-meter

Nifty100 Low Volatility 30 TRI



§With effect from 13th March 2023, the name of "IDFC Nifty100 Low Volatility 30 Index Fund" has changed to "Bandhan Nifty100 Low Volatility 30 Index Fund"