BANDHAN Focused Equity Fund - Regular Plan - Growth

Category: Equity: Focused
Launch Date: 16-03-2006
Asset Class: Equity
Benchmark: BSE 500 TRI
Expense Ratio: 2.09% As on (30-12-2024)
Status: Open Ended Schemes
Minimum Investment: 1000.0
Minimum Topup: 1000.0
Total Assets: 1,836.94 Cr As on (31-12-2024)
Turn over: 116%
NAV as on 14-01-2025

84.523

0.55 (0.6472%)

CAGR Since Inception

11.99%

BSE 500 TRI 12.44%

PERFORMANCE of BANDHAN Focused Equity Fund - Regular Plan - Growth

Scheme Performance (%)

Data as on - 14-01-2025

Yearly Performance (%)

Fund Managers

Sumit Agrawal, Ritika Behera

Investment Objective

The scheme aims to invest in well-managed growth companies that are available at reasonable value. Companies would be identified through a systematic process of forecasting earnings.

NAV & Lumpsum details( Invested amount 1,00,000)

Show All Monthly Lumpsum Returns
NAV Date NAV Units Market
Value
Returns
(%)
16-03-2006 10.0 10000.0 100000 0.0 %
17-04-2006 10.84 - 108400 8.4 %
16-05-2006 11.13 - 111300 11.3 %
16-06-2006 9.01 - 90100 -9.9 %
17-07-2006 9.3647 - 93647 -6.35 %
16-08-2006 10.2644 - 102644 2.64 %
18-09-2006 10.8283 - 108283 8.28 %
16-10-2006 11.3041 - 113041 13.04 %
16-11-2006 11.6936 - 116936 16.94 %
18-12-2006 11.8265 - 118265 18.27 %
16-01-2007 12.1531 - 121531 21.53 %
19-02-2007 12.5394 - 125394 25.39 %
16-03-2007 10.8585 - 108585 8.58 %
16-04-2007 11.9699 - 119699 19.7 %
16-05-2007 12.3264 - 123264 23.26 %
18-06-2007 12.1826 - 121826 21.83 %
16-07-2007 13.5045 - 135045 35.05 %
16-08-2007 12.6234 - 126234 26.23 %
17-09-2007 13.706 - 137060 37.06 %
16-10-2007 17.0655 - 170655 70.66 %
16-11-2007 17.5292 - 175292 75.29 %
17-12-2007 17.2801 - 172801 72.8 %
16-01-2008 17.576 - 175760 75.76 %
18-02-2008 16.024 - 160240 60.24 %
17-03-2008 13.9881 - 139881 39.88 %
16-04-2008 14.9402 - 149402 49.4 %
16-05-2008 15.7396 - 157396 57.4 %
16-06-2008 14.5274 - 145274 45.27 %
16-07-2008 12.0579 - 120579 20.58 %
18-08-2008 13.6215 - 136215 36.22 %
16-09-2008 13.3587 - 133587 33.59 %
16-10-2008 11.597 - 115970 15.97 %
17-11-2008 10.058 - 100580 0.58 %
16-12-2008 10.8599 - 108599 8.6 %
16-01-2009 10.436 - 104360 4.36 %
16-02-2009 10.4492 - 104492 4.49 %
16-03-2009 10.1492 - 101492 1.49 %
16-04-2009 12.0223 - 120223 20.22 %
19-05-2009 14.7664 - 147664 47.66 %
16-06-2009 15.3223 - 153223 53.22 %
16-07-2009 14.8738 - 148738 48.74 %
17-08-2009 15.3946 - 153946 53.95 %
16-09-2009 16.9572 - 169572 69.57 %
16-10-2009 17.6722 - 176722 76.72 %
16-11-2009 17.3559 - 173559 73.56 %
16-12-2009 17.3747 - 173747 73.75 %
18-01-2010 18.1599 - 181599 81.6 %
16-02-2010 17.2421 - 172421 72.42 %
16-03-2010 18.0438 - 180438 80.44 %
16-04-2010 18.2423 - 182423 82.42 %
17-05-2010 17.8843 - 178843 78.84 %
16-06-2010 18.2767 - 182767 82.77 %
16-07-2010 18.6863 - 186863 86.86 %
16-08-2010 18.8441 - 188441 88.44 %
16-09-2010 20.3484 - 203484 103.48 %
18-10-2010 20.8091 - 208091 108.09 %
16-11-2010 20.9101 - 209101 109.1 %
16-12-2010 20.2769 - 202769 102.77 %
17-01-2011 19.3193 - 193193 93.19 %
16-02-2011 18.6313 - 186313 86.31 %
16-03-2011 18.7925 - 187925 87.92 %
18-04-2011 19.5964 - 195964 95.96 %
16-05-2011 19.0842 - 190842 90.84 %
16-06-2011 19.0071 - 190071 90.07 %
18-07-2011 19.3071 - 193071 93.07 %
16-08-2011 18.0572 - 180572 80.57 %
16-09-2011 18.2449 - 182449 82.45 %
17-10-2011 18.0822 - 180822 80.82 %
16-11-2011 17.7308 - 177308 77.31 %
16-12-2011 16.4555 - 164555 64.55 %
16-01-2012 16.8358 - 168358 68.36 %
16-02-2012 18.8052 - 188052 88.05 %
16-03-2012 18.2183 - 182183 82.18 %
16-04-2012 17.7083 - 177083 77.08 %
16-05-2012 16.5678 - 165678 65.68 %
18-06-2012 17.1816 - 171816 71.82 %
16-07-2012 17.7002 - 177002 77.0 %
16-08-2012 18.1272 - 181272 81.27 %
17-09-2012 18.8007 - 188007 88.01 %
16-10-2012 18.8997 - 188997 89.0 %
16-11-2012 18.7569 - 187569 87.57 %
17-12-2012 19.7443 - 197443 97.44 %
16-01-2013 20.0244 - 200244 100.24 %
18-02-2013 19.4666 - 194666 94.67 %
18-03-2013 19.217 - 192170 92.17 %
16-04-2013 18.6629 - 186629 86.63 %
16-05-2013 19.8752 - 198752 98.75 %
17-06-2013 18.9195 - 189195 89.2 %
16-07-2013 19.2012 - 192012 92.01 %
16-08-2013 17.9973 - 179973 79.97 %
16-09-2013 18.8694 - 188694 88.69 %
17-10-2013 19.6804 - 196804 96.8 %
18-11-2013 20.1607 - 201607 101.61 %
16-12-2013 19.9838 - 199838 99.84 %
16-01-2014 20.6038 - 206038 106.04 %
17-02-2014 19.8909 - 198909 98.91 %
18-03-2014 20.9219 - 209219 109.22 %
16-04-2014 21.2157 - 212157 112.16 %
16-05-2014 23.0673 - 230673 130.67 %
16-06-2014 24.0985 - 240985 140.99 %
16-07-2014 24.5461 - 245461 145.46 %
18-08-2014 25.3093 - 253093 153.09 %
16-09-2014 25.6786 - 256786 156.79 %
16-10-2014 25.1559 - 251559 151.56 %
17-11-2014 27.4324 - 274324 174.32 %
16-12-2014 26.4116 - 264116 164.12 %
16-01-2015 27.7715 - 277715 177.72 %
16-02-2015 28.7989 - 287989 187.99 %
16-03-2015 28.4128 - 284128 184.13 %
16-04-2015 28.6087 - 286087 186.09 %
18-05-2015 27.6017 - 276017 176.02 %
16-06-2015 26.754 - 267540 167.54 %
16-07-2015 28.2771 - 282771 182.77 %
17-08-2015 27.6667 - 276667 176.67 %
16-09-2015 25.5257 - 255257 155.26 %
16-10-2015 26.3815 - 263815 163.81 %
16-11-2015 25.3228 - 253228 153.23 %
16-12-2015 25.1474 - 251474 151.47 %
18-01-2016 23.6517 - 236517 136.52 %
16-02-2016 22.4616 - 224616 124.62 %
16-03-2016 23.7778 - 237778 137.78 %
18-04-2016 24.9719 - 249719 149.72 %
16-05-2016 25.1492 - 251492 151.49 %
16-06-2016 25.731 - 257310 157.31 %
18-07-2016 26.7591 - 267591 167.59 %
16-08-2016 27.6153 - 276153 176.15 %
16-09-2016 28.4303 - 284303 184.3 %
17-10-2016 27.8397 - 278397 178.4 %
16-11-2016 26.2433 - 262433 162.43 %
16-12-2016 26.1344 - 261344 161.34 %
16-01-2017 27.1974 - 271974 171.97 %
16-02-2017 28.9248 - 289248 189.25 %
16-03-2017 29.6422 - 296422 196.42 %
17-04-2017 31.453 - 314530 214.53 %
16-05-2017 33.2511 - 332511 232.51 %
16-06-2017 34.2513 - 342513 242.51 %
17-07-2017 36.1629 - 361629 261.63 %
16-08-2017 36.4425 - 364425 264.43 %
18-09-2017 37.8028 - 378028 278.03 %
16-10-2017 38.1037 - 381037 281.04 %
16-11-2017 38.2341 - 382341 282.34 %
18-12-2017 40.0906 - 400906 300.91 %
16-01-2018 40.871 - 408710 308.71 %
16-02-2018 38.8409 - 388409 288.41 %
16-03-2018 38.445 - 384450 284.45 %
16-04-2018 39.9582 - 399582 299.58 %
16-05-2018 39.5322 - 395322 295.32 %
18-06-2018 39.8574 - 398574 298.57 %
16-07-2018 38.77 - 387700 287.7 %
16-08-2018 39.67 - 396700 296.7 %
17-09-2018 39.28 - 392800 292.8 %
16-10-2018 35.65 - 356500 256.5 %
16-11-2018 35.49 - 354900 254.9 %
17-12-2018 35.38 - 353800 253.8 %
16-01-2019 35.61 - 356100 256.1 %
18-02-2019 33.37 - 333700 233.7 %
18-03-2019 36.15 - 361500 261.5 %
16-04-2019 37.02 - 370200 270.2 %
16-05-2019 34.88 - 348800 248.8 %
17-06-2019 36.52 - 365200 265.2 %
16-07-2019 35.67 - 356700 256.7 %
16-08-2019 33.45 - 334500 234.5 %
16-09-2019 33.93 - 339300 239.3 %
16-10-2019 35.34 - 353400 253.4 %
18-11-2019 37.45 - 374500 274.5 %
16-12-2019 37.7 - 377000 277.0 %
16-01-2020 39.33 - 393300 293.3 %
17-02-2020 40.27 - 402700 302.7 %
16-03-2020 32.28 - 322800 222.8 %
16-04-2020 29.71 - 297100 197.1 %
18-05-2020 29.72 - 297200 197.2 %
16-06-2020 32.63 - 326300 226.3 %
16-07-2020 35.64 - 356400 256.4 %
17-08-2020 38.18 - 381800 281.8 %
16-09-2020 40.18 - 401800 301.8 %
16-10-2020 39.94 - 399400 299.4 %
17-11-2020 41.65 - 416500 316.5 %
16-12-2020 43.94 - 439400 339.4 %
18-01-2021 45.75 - 457500 357.5 %
16-02-2021 48.69 - 486900 386.9 %
16-03-2021 47.16 - 471600 371.6 %
16-04-2021 44.87 - 448700 348.7 %
17-05-2021 46.29 - 462900 362.9 %
16-06-2021 49.34 - 493400 393.4 %
16-07-2021 50.37 - 503700 403.7 %
16-08-2021 51.27 - 512700 412.7 %
16-09-2021 54.3 - 543000 443.0 %
18-10-2021 56.4 - 564000 464.0 %
16-11-2021 55.7 - 557000 457.0 %
16-12-2021 54.02 - 540200 440.2 %
17-01-2022 57.75 - 577500 477.5 %
16-02-2022 53.93 - 539300 439.3 %
16-03-2022 52.43 - 524300 424.3 %
18-04-2022 52.88 - 528800 428.8 %
16-05-2022 47.45 - 474500 374.5 %
16-06-2022 46.08 - 460800 360.8 %
18-07-2022 49.87 - 498700 398.7 %
16-08-2022 53.904 - 539040 439.04 %
16-09-2022 53.389 - 533890 433.89 %
17-10-2022 52.379 - 523790 423.79 %
16-11-2022 53.733 - 537330 437.33 %
16-12-2022 52.817 - 528170 428.17 %
16-01-2023 51.223 - 512230 412.23 %
16-02-2023 52.037 - 520370 420.37 %
16-03-2023 49.26 - 492600 392.6 %
17-04-2023 52.019 - 520190 420.19 %
16-05-2023 55.294 - 552940 452.94 %
16-06-2023 57.97 - 579700 479.7 %
17-07-2023 59.876 - 598760 498.76 %
16-08-2023 58.743 - 587430 487.43 %
18-09-2023 61.195 - 611950 511.95 %
16-10-2023 61.05 - 610500 510.5 %
16-11-2023 61.551 - 615510 515.51 %
18-12-2023 67.573 - 675730 575.73 %
16-01-2024 70.112 - 701120 601.12 %
16-02-2024 71.262 - 712620 612.62 %
18-03-2024 68.915 - 689150 589.15 %
16-04-2024 71.202 - 712020 612.02 %
16-05-2024 72.65 - 726500 626.5 %
18-06-2024 78.969 - 789690 689.69 %
16-07-2024 80.654 - 806540 706.54 %
16-08-2024 80.968 - 809680 709.68 %
16-09-2024 87.97 - 879700 779.7 %
16-10-2024 88.748 - 887480 787.48 %
18-11-2024 83.455 - 834550 734.55 %
16-12-2024 91.418 - 914180 814.18 %
14-01-2025 84.523 - 845230 745.23 %

RETURNS CALCULATOR for BANDHAN Focused Equity Fund - Regular Plan - Growth

Growth of 10000 In SIP (Fund vs Benchmark)

Amount :
Period :
Start :
End :

Growth of 10000 In LUMPSUM (Fund vs Benchmark)

Amount :
Start :

Rolling Returns

Rolling returns are the annualized returns of the scheme taken for a specified period (rolling returns period) on every day/week/month and taken till the last day of the duration. In this chart we are showing the annualized returns over the rolling returns period on every day from the start date and comparing it with the benchmark. Rolling returns is the best measure of a fund's performance. Trailing returns have a recency bias and point to point returns are specific to the period in consideration. Rolling returns, on the other hand, measures the fund's absolute and relative performance across all timescales, without bias.

Riskometer

riskometer

Key Performance and Risk Statistics of BANDHAN Focused Equity Fund - Regular Plan - Growth

Key Statistics Volatility Sharpe Ratio Alpha Beta Yield to Maturity Average Maturity
BANDHAN Focused Equity Fund - Regular Plan - Growth 12.64 0.76 3.11 0.89 - -
Equity: Focused - - - - - -

PEER COMPARISION of BANDHAN Focused Equity Fund - Regular Plan - Growth

Amount :
Start :
End :
Period
Data as on - 14-01-2025
Scheme Name Launch
Date
1-Year
Ret (%)
2-Yrs
Ret (%)
3-Yrs
Ret (%)
5-Yrs
Ret (%)
10-Yrs
Ret (%)
BANDHAN Focused Equity Fund - Regular Plan - Growth 16-03-2006 21.63 28.06 13.69 16.63 12.04
Invesco India Focused Fund - Growth 08-09-2020 26.64 34.24 16.21 0.0 0.0
HDFC Focused 30 Fund - GROWTH PLAN 05-09-2004 18.6 25.08 20.79 21.44 13.6
ICICI Prudential Focused Equity Fund - Growth 05-05-2009 18.07 24.5 16.35 22.1 13.42
Canara Robeco Focused Equity Fund - Regular Plan - Growth Option 05-05-2021 16.7 21.43 12.81 0.0 0.0
Edelweiss Focused Fund - Regular Plan - Growth 26-07-2022 14.88 23.04 0.0 0.0 0.0
ITI Focused Equity Fund - Regular Plan - Growth 19-06-2023 14.79 0.0 0.0 0.0 0.0
Mahindra Manulife Focused Fund - Regular Plan - Growth 01-11-2020 13.84 23.31 15.56 0.0 0.0
DSP Focus Fund - Regular Plan - Growth 10-06-2010 13.7 24.56 12.26 14.05 11.69
Aditya Birla Sun Life Focused Fund -Growth Option 05-10-2005 13.34 19.36 11.0 15.43 12.05

PORTFOLIO ANALYSIS of BANDHAN Focused Equity Fund - Regular Plan - Growth

Asset Allocation (%)

Allocation Percentage (%)

Market Cap Distribution

Small Cap

17.75%

Others

10.0%

Large Cap

45.99%

Mid Cap

26.12%

Total

100%