Bajaj Finserv Mutual Fund
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Bajaj Finserv Banking and PSU Debt Fund - Direct Plan - Growth

Bajaj Finserv Mutual Fund · Banking and PSU Fund · Direct · Growth

NAV · as of 11/09/2026

12.23

1D

-0.09%

1Y

+5.16%

Key stats

Expense ratio
0.35%
AUM
₹369.80 Cr
Launched
15/11/2023
Fund manager
Nimesh Chandan; Siddharth Chaudhary
Risk
Low to Moderate Risk
Min lump-sum
₹1,000
Min SIP
₹1,000/mo
Fresh lump-sum
Accepted
Fresh SIP
Accepted

NAV history

Bajaj Finserv Banking and PSU Debt Fund - Direct Plan - Growth

12/08/2026 to 11/09/2026

O - H - L -

12.2512.2012/08/202611/09/2026
1W-0.08%
1M-0.03%
3M+1.33%
6M+2.79%
1Y+5.16%
MAX+22.13%

Top holdings

25 disclosed
  • 1.

    Clearing Corporation Of India Ltd

    11.66%
  • 2.

    Rural Electrification Corporation Limited - NCD & Bonds - NCD & Bonds

    6.95%
  • 3.

    National Highways Authority Of India - NCD & Bonds - NCD & Bonds

    6.87%
  • 4.

    L&T Finance Limited - NCD & Bonds - NCD & Bonds

    6.80%
  • 5.

    Food Corporation Of India - NCD & Bonds - NCD & Bonds

    6.80%
  • 6.

    Power Finance Corporation Limited - NCD & Bonds - NCD & Bonds

    6.77%
  • 7.

    National Bank For Agriculture And Rural Development - NCD & Bonds - NCD & Bonds

    6.77%
  • 8.

    Housing and Urban Development Corporation, Ltd. 7.23% - NCD & Bonds - NCD & Bonds

    6.74%
  • 9.

    Kotak Mahindra Prime Limited - NCD & Bonds - NCD & Bonds

    6.70%
  • 10.

    Small Industries Development Bank Of India - NCD & Bonds - NCD & Bonds

    6.66%
  • 11.

    Bank Of Baroda

    6.52%
  • 12.

    Housing And Urban Development Corporation Limited - NCD & Bonds - NCD & Bonds

    2.78%
  • 13.

    Tata Capital Housing Finance Limited - NCD & Bonds - NCD & Bonds

    2.71%
  • 14.

    Export Import Bank Of India - NCD & Bonds - NCD & Bonds

    2.70%
  • 15.

    Ntpc Limited - NCD & Bonds - NCD & Bonds

    2.63%
  • 16.

    Net Receivables / (Payables)

    2.05%
  • 17.

    Power Grid Corporation Of India Limited - NCD & Bonds - NCD & Bonds

    1.43%
  • 18.

    National Bank For Agriculture And Rural Development - NCD & Bonds - NCD & Bonds

    1.35%
  • 19.

    Axis Bank Limited

    1.35%
  • 20.

    National Bank For Agriculture And Rural Development - NCD & Bonds - NCD & Bonds

    1.33%
  • 21.

    National Bank For Financing Infrastructure And Development - NCD & Bonds - NCD & Bonds

    1.32%
  • 22.

    7.11% Maharashtra Sdl 2029

    0.82%
  • 23.

    Sbi - Corporate Debt Market Development Fund (Cdmdf) - Class A2

    0.28%
  • 24.

    7.61% Gujarat Sdl 2032

    -
  • 25.

    Punjab National Bank - NCD & Bonds - NCD & Bonds

    -

Sector allocation

  • Unclassified100.00%

Comparable peers

  • Franklin India Banking & PSU Debt Growth Direct Plan

    Franklin Banking & PSU Debt (G) · ₹585.10 Cr AUM

    1Y+6.61%
    3Y+7.56%
    -
  • UTI Banking & PSU Debt Growth Direct Plan

    UTI Banking & PSU Debt (G) · ₹1.48 K Cr AUM

    1Y+6.21%
    3Y+7.46%
    -
  • Kotak Banking & PSU Growth Direct Plan

    Kotak Banking & PSU (G) · ₹5.00 K Cr AUM

    1Y+5.88%
    3Y+7.47%
    -
  • LIC MF Banking & PSU Debt Growth Direct Plan

    LIC MF Banking & PSU Debt (G) · ₹1.65 K Cr AUM

    1Y+5.65%
    3Y+7.39%
    -
  • Bajaj Finserv Banking & PSU Debt Growth Direct Plan

    Bajaj Finserv Banking & PSU Debt (G) · ₹369.80 Cr AUM

    1Y+5.16%
    3Y0.00%
    -

Investment objective

To generate income by predominantly investing in debt & money market securities issued by Banks, Public Sector Undertaking (PSUs), Public Financial Institutions (PFI), Municipal Bonds and Reverse repos in such securities, sovereign securities issued by the Central Government and State Governments, and / or any security unconditionally guaranteed by the Govt. of India. There is no assurance that or guarantee that the investment objective of the scheme will be achieved.

Scheme details

Scheme code
152162
Fund house
Bajaj Finserv Mutual Fund
Category
Open Ended
Type
Income/Debt Oriented Schemes
Sub-category
Banking and PSU Fund
Plan
Direct
Return type
Growth
ISIN (Growth)
INF0QA701607
ISIN (Div. Reinvest)
-
Tradable on exchange
No

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