Bandhan Sterling Value Fund§

An open ended equity scheme following a value investment strategy

31st January 2024

Bandhan Sterling Value Fund§

An open ended equity scheme following a value investment strategy

31st January 2024


About the Fund: Bandhan Sterling Value Fund is a value fund that focuses on an active stock selection strategy. The fund has an approach to identifying value opportunities across market cap segments.
Category: Value
Monthly Avg AUM : ₹ 7,930.70 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 : ₹ 8,161.17 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: 7 March 2008
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. Daylynn Pinto (w.e.f. 20th October 2016).
Other Parameter:
Beta

Beta is a measure of an investment's volatility vis-a-vis the market. Beta of less than 1 means that the security will be less volatile than the market. A beta of greater than 1 implies that the security's price will be more volatile than the market.

0.94
R Square0.73
Standard Deviation (Annualized)

Standard deviation is a statistical measure of the range of an investment's performance. When a mutual fund has a high standard deviation, its means its range of performance is wide, implying greater volatility.

15.08%
Sharpe*

The Sharpe Ratio, named after its founder, the Nobel Laureate William Sharpe, is a measure of risk-adjusted returns. It is calculated using standard deviation and excess return to determine reward per unit of risk.

1.67
Portfolio Turnover
Equity0.25
Aggregate^0.25
Total Expense Ratio
Regular1.78%
Direct0.66%
Benchmark: Tier 1: S&P BSE 500 TRI (w.e.f. 28th Dec, 2021) Tier 2: S&P BSE 400 MidSmallCap TRI
SIP (Minimum Amount): ₹ 100/- (Minimum 6 instalments)
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/- and any amount 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.

• 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. (w.e.f. May 08, 2020)
NAV (₹) as on January 31, 2024
Regular PlanGrowth128.49
Regular Plan IDCW@39.68
@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.Mr. Anoop Bhaskar was managing this Scheme till 27th January 2023.


^^Ms. Ritika Behera will be managing for Equity overseas investment portion of the scheme w.e.f. October 07, 2023.


Name % of NAV
Equity and Equity related Instruments 96.17%
Banks 18.30%
oHDFC Bank 4.30%
oAxis Bank 4.19%
oICICI Bank 3.78%
State Bank of India 1.96%
IndusInd Bank 1.88%
Bank of Baroda 1.52%
Indian Bank 0.67%
Pharmaceuticals & Biotechnology 8.02%
Cipla 1.90%
Sun Pharmaceutical Industries 1.74%
Lupin 1.29%
Aurobindo Pharma 1.16%
Dr. Reddy's Laboratories 1.13%
Laurus Labs 0.79%
IT - Software 7.67%
oTata Consultancy Services 2.43%
HCL Technologies 1.93%
Tech Mahindra 1.88%
Infosys 1.42%
Finance 5.09%
Poonawalla Fincorp 1.88%
Shriram Finance 1.21%
Mas Financial Services 1.01%
M&M Financial Services 1.00%
Automobiles 4.69%
oHero MotoCorp 2.15%
Tata Motors 1.73%
Mahindra & Mahindra 0.81%
Petroleum Products 4.46%
oReliance Industries 4.46%
Electrical Equipment 4.25%
oCG Power and Industrial Solutions 2.24%
KEC International 1.62%
Suzlon Energy 0.39%
Ferrous Metals 3.57%
oJindal Steel & Power 2.32%
Kirloskar Ferrous Industries 1.25%
Auto Components 3.57%
Bosch 1.78%
UNO Minda 1.69%
Wheels India 0.11%
Power 3.41%
oNTPC 2.14%
Power Grid Corporation of India 1.27%
Insurance 3.30%
ICICI Lombard General Insurance Company 1.76%
HDFC Life Insurance Company 0.85%
SBI Life Insurance Company 0.69%
Name % of NAV
Leisure Services 3.20%
The Indian Hotels Company 1.87%
EIH 1.33%
Consumer Durables 2.78%
Greenpanel Industries 1.47%
Crompton Greaves Consumer Electricals 0.89%
Mayur Uniquoters 0.42%
Diversified FMCG 2.27%
oITC 2.27%
Construction 2.25%
NCC 1.56%
Sterling And Wilson Renewable Energy 0.69%
Beverages 2.09%
Radico Khaitan 1.22%
United Spirits 0.87%
Cement & Cement Products 1.97%
The Ramco Cements 1.31%
Nuvoco Vistas Corporation 0.66%
Transport Services 1.73%
VRL Logistics 1.73%
Food Products 1.68%
Avanti Feeds 1.68%
Consumable Fuels 1.49%
Coal India 1.49%
Gas 1.43%
GAIL (India) 1.43%
Personal Products 1.43%
Godrej Consumer Products 1.43%
Non - Ferrous Metals 1.17%
Hindalco Industries 1.17%
Oil 1.08%
Oil & Natural Gas Corporation 1.08%
Industrial Products 1.06%
Graphite India 1.06%
Commercial Services & Supplies 1.02%
Updater Services 0.65%
Quess Corp 0.37%
Retailing 0.91%
V-Mart Retail 0.91%
Chemicals & Petrochemicals 0.85%
Deepak Nitrite 0.85%
Realty 0.71%
Sobha 0.71%
Telecom - Services 0.57%
Bharti Airtel 0.57%
Textiles & Apparels 0.15%
K.P.R. Mill 0.15%
Net Cash and Cash Equivalent 3.83%
Grand Total 100.00%
oTop 10 Equity Holdings


$$Cash equivalents and other than equity instruments (if any).



Performance based on NAV as on 31/01/2024. Past performance may or may not be sustained in future.
The performances given are of regular plan growth option.
Click here for other funds managed by the fund manager and refer to the respective fund pages
#Benchmark Returns. ##Alternate Benchmark Returns.



Scheme risk-o-meter

Investors understand that their principal will be at Very High risk

This product is suitable for investors who are seeking*

  • To create wealth over long term.
  • Investment predominantly in equity and equity related instruments following a value investment strategy.

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

Benchmark risk-o-meter

Tier 1: S&P BSE 500 TRI

Benchmark risk-o-meter

Tier 2: S&P BSE 400 MidSmallCap TRI


Click here to Know More


Regular and Direct Plans have different expense structure. Direct Plan shall have a lower expense ratio excluding distribution expenses, commission expenses etc.
*Risk-free rate assumed to be 6.85% (FBIL OVERNIGHT MIBOR as on 31st January 2024). Ratios calculated on the basis of 3 years history of monthly data.
^Portfolio Turnover ratio is calculated as Lower of purchase or sale during the period / Average AUM for the last one year (includes Fixed Income securities and Equity derivatives).
$The fund has been repositioned from a mid cap fund to a value fund w.e.f. May 28, 2018.
§With effect from 13th March 2023, the name of "IDFC Sterling Value Fund" has changed to "Bandhan Sterling Value Fund"
Ms. Ritika Behera has been designated as the dedicated fund manager for managing the overseas exposure in equity segment for all equity oriented schemes and hybrid schemes of Bandhan Mutual Fund ("the Fund") with effect from October 07, 2023.