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BANDHAN EQUITY SAVINGS FUND - Regular Plan - Growth

Bandhan Mutual Fund · Equity Savings

NAV as of 9 Sept 2026

₹32.40

1y return
+3.08%
absolute
3y return
+6.07%
CAGR
5y return
+5.65%
CAGR
NAV history
9 Sept 20259 Sept 2026

Low ₹31.281High ₹32.828

Scheme details

Fund house
Bandhan Mutual Fund
Category
Hybrid Scheme - Equity Savings
Plan
Regular Plan
Option
Growth
AMFI scheme code
108995
ISIN (growth / payout)
INF194K01581
ISIN (reinvestment)
52-week high
₹32.828
52-week low
₹31.281

SIP projection

An illustration only. The rate below is an assumption, not a forecast, and actual returns will differ.

Amount invested
6,00,000
Projected value at 6.1% p.a.
8,28,047

Other variants of this fund

SchemeNAV1y
BANDHAN EQUITY SAVINGS FUNDDirect · Annual IDCW₹13.999−2.28%
BANDHAN EQUITY SAVINGS FUNDDirect · Growth₹36.343+4.02%
BANDHAN EQUITY SAVINGS FUNDDirect · Monthly IDCW₹11.461−2.08%
BANDHAN EQUITY SAVINGS FUNDDirect · Quarterly IDCW₹13.331−2.09%
BANDHAN EQUITY SAVINGS FUNDRegular · Annual IDCW₹12.559−3.17%
BANDHAN EQUITY SAVINGS FUNDRegular · Growth₹12.3608
BANDHAN EQUITY SAVINGS FUNDRegular · Growth₹16.0114
BANDHAN EQUITY SAVINGS FUNDRegular · Monthly IDCW₹10.799−2.40%

Equity Savings peers, sorted by 1-year return

Same plan and option, from other fund houses. Sorted by a fact, not a recommendation.

SchemeNAV1y
Edelweiss Equity Savings FundRegular · Growth₹23.6102+13.63%
Edelweiss Equity Savings FundRegular · Growth₹30.5961+8.43%
Edelweiss Equity Savings FundRegular · Growth₹27.3993+7.39%
Kotak Equity Savings FundRegular · Growth₹27.4727+4.18%
Bajaj Finserv Equity Savings FundRegular · Growth₹10.427+3.97%
Franklin India Equity Savings FundRegular · Growth₹16.9843+3.20%

Thinking about this fund?

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Mutual fund investments are subject to market risks. Read all scheme related documents carefully before investing. Past performance is not indicative of future returns. NAV data is sourced from AMFI and may be delayed. The Good Wealth is an AMFI-registered mutual fund distributor and does not provide investment advice.