Asset Allocation for Bandhan Bond Fund - Short Term Plan-monthly-idcw Reinvestment Fund Growth
Top 10 Holdings of Bandhan Bond Fund - Short Term Plan-monthly-idcw Reinvestment
55.47 % of total assets
Detailed Portfolio of Bandhan Bond Fund - Short Term Plan-monthly-idcw Reinvestment
Portfolio Date -30 Apr 2025
Debt Holdings -58
Other Holdings -4
-
Equity Holdings
-
Debt Holdings
-
Other Holdings
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
12.42% | 1219.416 Cr | ||
8.78% | 861.763 Cr | ||
7.78% | 763.923 Cr | ||
4.90% | 481.235 Cr | ||
4.53% | 444.730 Cr | ||
3.89% | 381.371 Cr | ||
3.61% | 354.521 Cr | ||
3.48% | 341.234 Cr | ||
3.11% | 305.270 Cr | ||
2.96% | 290.820 Cr | ||
2.79% | 274.009 Cr | ||
2.74% | 268.820 Cr | ||
2.68% | 263.206 Cr | ||
2.58% | 252.770 Cr | ||
2.54% | 248.793 Cr | ||
2.43% | 238.549 Cr | ||
2.13% | 208.536 Cr | ||
1.80% | 176.842 Cr | ||
1.50% | 147.462 Cr | ||
1.48% | 145.306 Cr | ||
1.47% | 143.882 Cr | ||
1.28% | 125.300 Cr | ||
1.27% | 125.041 Cr | ||
1.06% | 104.340 Cr | ||
1.03% | 101.336 Cr | ||
1.03% | 100.959 Cr | ||
0.99% | 97.564 Cr | ||
0.98% | 96.542 Cr | ||
0.98% | 95.938 Cr | ||
0.88% | 85.973 Cr | ||
0.63% | 62.237 Cr | ||
0.52% | 51.100 Cr | ||
0.51% | 50.342 Cr | ||
0.51% | 50.310 Cr | ||
0.51% | 49.553 Cr | ||
0.49% | 48.341 Cr | ||
0.41% | 40.564 Cr | ||
0.36% | 35.263 Cr | ||
0.31% | 30.774 Cr | ||
0.31% | 30.619 Cr | ||
0.31% | 30.270 Cr | ||
0.29% | 28.815 Cr | ||
0.26% | 25.920 Cr | ||
0.26% | 25.616 Cr | ||
0.26% | 25.492 Cr | ||
0.26% | 25.267 Cr | ||
0.26% | 25.093 Cr | ||
0.25% | 24.445 Cr | ||
0.25% | 24.407 Cr | ||
0.25% | 24.276 Cr | ||
0.20% | 19.560 Cr | ||
0.19% | 19.019 Cr | ||
0.15% | 14.390 Cr | ||
0.11% | 10.591 Cr | ||
0.10% | 10.003 Cr | ||
0.01% | 1.036 Cr | ||
0.01% | 0.997 Cr | ||
0.01% | 0.862 Cr |
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
1.98% | 193.877 Cr | - | |
0.28% | 26.995 Cr | ||
0.12% | 11.874 Cr | - | |
0.02% | 1.888 Cr | - |