Bandhan Long Term Fund NAV Drops 0.34% to 10.5356

By Business DeskBandhan Long Term Fund NAV Drops 0.34% to 10.5356

Bandhan Long Term Fund’s NAV decreased by 0.34% to 10.5356 on August 28, 2026. Learn about this open-ended, long-duration debt fund managed by Gautam Kaul.

The Bandhan Long Term Fund – Direct Plan registered a Net Asset Value (NAV) of 10.5356 on August 28, 2026. This figure reflects a slight decrease of 0.34% for the open-ended, long-duration debt fund.

Launched on March 20, 2024, the fund operates under the management of Gautam Kaul. Mr. Kaul has overseen the fund since its inception in March 2024.

Key Fund Metrics

  • NAV as of August 28, 2026: 10.5356
  • NAV Change: -0.34%
  • Inception Date: March 20, 2024
  • Entry Load: 0%
  • Exit Load: 0%

Gautam Kaul brings a robust academic background, holding a B.Com (H) and an MBA (Finance). His professional experience includes tenures at prominent asset management companies such as Edelweiss AMC and Invesco Mutual Fund, prior to joining Bandhan.

Investment Accessibility

  • Benchmark: NIFTY Long Duration Debt Index A-III
  • Minimum Initial Investment: ₹1,000
  • Subsequent Investments: ₹1,000
  • Available Facilities: Systematic Investment Plan (SIP), Systematic Transfer Plan (STP), Systematic Withdrawal Plan (SWP)

The fund’s structure emphasizes investor accessibility with zero entry and exit loads, alongside flexible investment avenues for both initial and subsequent contributions.

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