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Bandhan Liquid Fund Direct Growth

Growth
3,430.260.01% (+0.33)
High
Low
Returns
1M
6M
1Y
3Y
5Y
Max
SIP
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1M
6M
1Y
3Y
5Y
Max
SIP

Large-size Fund

Assets Under Mgmt: ₹ 20,197 Cr

Moderately Low Risk

Principle investment will be at moderately low risk

Scorecard

Performance

High

The creamy layer - amongst the top performing Mutual Funds

Risk

Avg

Average risk vs others in sub-category

Cost

Avg

Market standard costs, nothing exciting

Composition

Avg

Average allocation strategy, nothing exciting

Red flags

Low

We got you covered, no major red flags identified

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Large-size Fund

Assets Under Mgmt: ₹ 20,197 Cr

Moderately Low Risk

Principle investment will be at moderately low risk

Bandhan Liquid Fund Performance & Key Metrics

Bandhan Liquid Fund Performance & Key Metrics

Expense RatioExpense RatioNo LabelNo LabelNo LabelNo Label
0.076.05-0.84
No LabelNo LabelNo LabelNo LabelNo LabelNo Label
0.206.21-0.78

Bandhan Liquid Fund Scheme InfoBandhan Liquid Fund Scheme Info

PlanPlanLock inLock inExit LoadExit Load
Growth0 yrs0.007%
0.007% for Day 1 0.0065% on Day 2 0.0060% on Day 3 0.0055% on Day 4 0.0050% on Day 5 0.0045% on Day 6 NIL after 7D
SIP Inv.SIP Inv.Min. LumpsumMin. Lumpsum
Allowed₹ 100
Initial: ₹ 100 Incremental: ₹ 100
BenchmarkBenchmark
Nifty Liquid Fund Index

About Liquid Fund

About Liquid Fund

Liquid funds are the debt funds. They invest majorly in fixed-income intruments with a maturity of up to 91 days. The investor can get their redeemed amounts within 24 hours. These funds have low interest-rate risk as compared to other debt funds.

Bandhan Liquid Fund Peers

Bandhan Liquid Fund Peers & Comparison

Comparing 3 mutual funds from 
DebtLiquid Fund
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Mutual Fund1Y Returns1Y Returns3Y CAGR3Y CAGRLife CAGRLife CAGR
Bandhan Liquid Fund6.52%6.96%6.78%
SBI Liquid Fund6.50%6.93%6.79%
Aditya Birla SL Liquid Fund6.60%7.03%6.90%
HDFC Liquid Fund6.51%6.95%6.80%

Bandhan Liquid Fund Returns Comparison

Compare Bandhan Liquid Fund with any MF, ETF, stock or index
Compare Bandhan Liquid Fund with any MF, ETF, stock or index
Bandhan Liquid Fund
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Bandhan Liquid Fund Portfolio

Bandhan Liquid Fund Asset Allocation

Bandhan Liquid Fund Asset Allocation

Actual

Target

Dec 2025

Mar 2026

Jun 2026

Aug 2026

ACTUAL
+2 moreGovernment SecuritiesCash & EquivalentsTreasury BillsCertificate of DepositCommercial Paper0.35%2.51%4.54%12.36%32.98%47.25%

Dec 2025

Mar 2026

Jun 2026

Aug 2026

Tickertape Separator

Bandhan Liquid Fund Sector Distribution

Bandhan Liquid Fund Sector Distribution

+9 morePower GenerationSpecialized FinancePrivate BanksG-SecPublic Banks21.00 %9.48 %11.20 %11.91 %14.88 %31.54 %

Dec 2025

Mar 2026

Jun 2026

Aug 2026

Tickertape Separator

Bandhan Liquid Fund Sector Weightage

Bandhan Liquid Fund Sector Weightage

Jun 25Sep 25Dec 25Mar 26Jun 26Aug 2622.67%16.74%45.34%49.47%34.66%31.54%
Public Banks as a % of total holdings for last six quarters
Tickertape Separator

Bandhan Liquid Fund Current Holdings

Bandhan Liquid Fund Current Holdings

Debt

Others

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AMC Profile of Bandhan Liquid Fund

AMC Profile of Bandhan Liquid Fund

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Bandhan Liquid Fund Manager Details

Bandhan Liquid Fund Manager Details

Bandhan Liquid Fund Manager Profile

Bandhan Liquid Fund Manager Profile

Bandhan Liquid Fund Manager Performance (0)

Bandhan Liquid Fund Manager Performance (0)

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Bandhan Liquid Fund Review & Opinions

Bandhan Liquid Fund Review & Opinions

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Frequently asked questions

Frequently asked questions

  1. The current NAV of Bandhan Liquid Fund is ₹3430.26, as of 11th September 2026.

  2. The Bandhan Liquid Fund was launched on 1st January 2013. This mutual fund's past returns are as follows:
    • 1 Year Returns: 6.52%
    • 3 Year Returns: 6.96%
    • 5 Year Returns: 6.34%

  3. The top sectors Bandhan Liquid Fund has invested in are as follows:
    • Public Banks | 31.54%
    • G-Sec | 14.88%
    • Private Banks | 11.91%
    • Specialized Finance | 11.20%
    • Power Generation | 9.48%
    This data is as on 11th September 2026.

  4. The top 5 holdings for Bandhan Liquid Fund are as follows:
    • HDFC Bank Limited | 5.98%
    • Triparty Repo TRP_010926 | 4.59%
    • Bajaj Finance Limited ** | 3.71%
    • Union Bank of India | 3.69%
    • Union Bank of India ** | 3.33%
    This data is as on 11th September 2026.

  5. The asset allocation for Bandhan Liquid Fund is as follows:
    • Commercial Paper | 47.25%
    • Certificate of Deposit | 32.98%
    • Treasury Bills | 12.36%
    • Cash & Equivalents | 4.54%
    • Government Securities | 2.51%
    This data is as on 11th September 2026.

  6. The AUM (i.e. assets under management) of Bandhan Liquid Fund is ₹20197.71 Cr as of 11th September 2026.

  7. The expense ratio of Bandhan Liquid Fund Plan is 0.07 as of 11th September 2026.

  8. The alpha ratio for the Bandhan Liquid Fund is N/A

    Alpha is the excess return of a fund compared to its expected return, based on its beta and the risk-free rate. Positive alpha indicates that the fund has outperformed its expected return, while negative alpha suggests underperformance.

  9. The volatility or standard deviation for the Bandhan Liquid Fund is 0.15

    Standard deviation measures the volatility or risk associated with the returns of a mutual fund. A higher standard deviation indicates higher volatility, suggesting that the returns of the mutual fund are more spread out from the average. On the other hand, a lower standard deviation implies lower volatility and a more stable performance.

  10. The Sharpe ratio for the Bandhan Liquid Fund is -0.84

    The Sharpe ratio is a measure of risk-adjusted return that evaluates the performance of a mutual fund, by adjusting for its risk. Higher Sharpe ratio indicates a better risk-adjusted performance. A positive Sharpe ratio indicates that the MF has provided a return in excess of the risk-free rate for the amount of risk taken. Conversely, a negative Sharpe ratio suggests that the MF did not adequately compensate for the risk.

  11. The Sortino Ratio for the Bandhan Liquid Fund is -0.07

    The Sortino ratio of a mutual fund is a measure of its risk-adjusted return, considering only downside volatility. It helps investors evaluate how well a fund is performing relative to its downside risk. A higher Sortino ratio (value >1) means the fund generates better returns for the downside risk taken.