Official AMFI data
Arthkar
Bandhan

BANDHAN Infrastructure Fund

Sectoral / ThematicEquity SEBI-regulated

NAV (Direct-Growth)

₹59.6950

As of 1 Jul 2026 · AMFI

AUM

₹1.5K Cr

Expense ratio

0.73%

1Y returns

-0.91%

cat 4.06%

3Y CAGR

+21.65%

cat 20.75%

5Y CAGR

+19.79%

cat 20.15%

Std deviation 3Y

+23.16%

cat 19.89%

In plain English

BANDHAN Infrastructure Fund is a Sectoral / Thematic scheme from Bandhan. The portfolio is ~97% in equities. Long-run track record: about 19.8% CAGR over 5 years. Volatility is high — expect 30 %+ paper losses during major corrections. Worst historical drawdown: -57% in Mar 2020, recovered in 14 months. Wrong fit if you need this money in less than 7 years.

Auto-generated from holdings, returns and risk data. No paid placement, no copy-pasted boilerplate.

NAV history

NAV (Direct-Growth)

₹59.6950

Last 1Y

-1.79%

Jul 25Min ₹48.84 · Max ₹60.78 · 250 ptsJul 26

Drawdown stories

The crashes you should know about — and how long the fund took to recover.

Mar 2020

-56.9%

Peak ₹21.63 on 8 Jan 2018 → trough ₹9.33 on 24 Mar 2020 (27 months down).

Recovered in 14 months· 21 May 2021

Mar 2025 — ongoing

-28.8%

Peak ₹66.40 on 31 Jul 2024 → trough ₹47.28 on 3 Mar 2025 (7 months down).

Not yet recovered

Aug 2013

-28.0%

Peak ₹8.99 on 4 Jan 2013 → trough ₹6.47 on 28 Aug 2013 (8 months down).

Recovered in 9 months· 16 May 2014

Feb 2016

-27.7%

Peak ₹13.13 on 20 Jul 2015 → trough ₹9.48 on 29 Feb 2016 (7 months down).

Recovered in 7 months· 5 Oct 2016

Computed from the full NAV history. We show drawdowns deeper than 10%, sorted by depth.

Honesty score

A 1–5 grade on the dimensions other sites won't surface — expense bloat, AUM bloat, concentration, mandate compliance.

4

Honesty score

4 / 5

Solid scheme on the dimensions we check. No red flags.

  • Expense ratio

    0.73% — typical for category.

  • AUM size

    ₹1.5K Cr.

  • Sector concentration

    Top 3 sectors = 75.5% — heavy concentration risk.

Computed from expense ratio, AUM, sector concentration and SEBI mandate compliance. No paid review.

Performance

Returns for various periods, with category average and peer rank.

PeriodReturnsCategory avgRank
1W+2.21%+0.19%4/ 20
1M+15.44%+11.09%5/ 20
3M+10.84%+9.52%14/ 20
6M+4.27%+5.80%14/ 20
YTD+5.57%+6.34%14/ 20
1Y-0.91%+4.06%18/ 19
2Y+3.99%+5.52%15/ 18
3Y+21.65%+20.75%11/ 18
5Y+19.79%+20.15%13/ 18
7Y+19.79%+16.79%10/ 18
10Y+17.99%+16.63%10/ 18

Portfolio composition

Asset allocation

  • Equity96.51%
  • Cash3.49%

By market cap

  • Large cap44.25%
  • Mid cap12.25%
  • Small cap42.64%
  • Others0.86%

Concentration

Holdings

74

Avg market cap

₹58.8K Cr

Top 10 stocks

40.47%

Top 5 stocks

23.90%

Top 3 sectors

75.54%

Top holdings

Top 15 positions by weight, latest disclosure.

#InstrumentSectorWeight
  • 1

    Larsen & Toubro Ltd

    6.19%
  • 1

    Larsen & Toubro Ltd

    5.87%
  • 2

    Reliance Industries Ltd

    5.40%
  • 2

    Reliance Industries Ltd

    5.11%
  • 3

    Triparty Repo Trp_040526

    4.82%
  • 3

    Bharti Airtel Ltd

    4.79%
  • 4

    Kirloskar Brothers Ltd

    4.73%
  • 4

    Kirloskar Brothers Ltd

    4.30%
  • 5

    Bharti Airtel Ltd

    4.30%
  • 5

    Bharat Electronics Ltd

    4.27%
  • 6

    UltraTech Cement Ltd

    4.10%
  • 6

    Bharat Electronics Ltd

    3.89%
  • 7

    InterGlobe Aviation Ltd

    3.87%
  • 8

    GPT Infraprojects Ltd

    3.58%
  • 7

    GPT Infraprojects Ltd

    3.58%

Fundamentals (vs category)

Portfolio-weighted ratios, compared with the category average.

MetricFundCategory avgDiff
  • P/E ratio24.6025.82-1.22
  • P/B ratio3.153.54-0.39
  • Price / Sales2.422.40+0.02
  • Price / Cash Flow13.6714.92-1.25
  • Dividend yield0.89%1.12%-0.23
  • Return on equity (ROE)13.31%15.16%-1.85

Risk metrics

Standard deviation, Sharpe, Sortino, Beta — all vs category average.

Metric1Y3Y5YCat 1YCat 3YCat 5Y
  • Standard deviation

    Volatility — lower means steadier returns.

    24.1723.1620.1621.7619.8917.70
  • Sharpe ratio

    Risk-adjusted return — higher is better.

    -0.200.690.720.020.730.81
  • Sortino ratio

    Like Sharpe but only counts downside volatility.

    -0.331.131.180.071.221.36
  • Beta

    1 = moves with the market. <1 = less volatile.

    1.241.161.061.111.000.95

Peers in Sectoral / Thematic

Other schemes in the same SEBI category, ranked by AUM.

Available plans & options

PlanOptionFull nameISIN
  • DirectGrowthBANDHAN Infrastructure Fund-Direct Plan-GrowthINF194K01X46
  • DirectIDCW ReinvestmentBANDHAN Infrastructure Fund-Direct Plan-IDCWINF194K01X53
  • RegularGrowthBANDHAN Infrastructure Fund - Regular Plan - GrowthINF194K01BY9
  • RegularIDCW ReinvestmentBANDHAN Infrastructure Fund - Regular Plan - IDCWINF194K01BZ6