BANDHAN Balanced Advantage Fund — Rolling Returns & Performance Analysis
BANDHAN Balanced Advantage Fund (Direct Plan) is a Balanced Advantage Fund from Bandhan Mutual Fund — a fund that dynamically shifts between equity and debt. This page analyses its rolling returns, long-term performance and return consistency using its full NAV history (AMFI scheme code 131355).
Most sites show BANDHAN Balanced Advantage Fund's return for a single hand-picked period, which can make almost any fund look good or bad depending on the dates chosen. This tool instead tests BANDHAN Balanced Advantage Fund across every possible entry date, so you can see how it would have performed no matter when you invested — the honest way to judge a balanced advantage fund.
BANDHAN Balanced Advantage Fund rolling returns explained
Each point on the chart is BANDHAN Balanced Advantage Fund's annualised CAGR for a holding period (1M to 10Y) ending on that date. The statistics show the best, worst, median and average return, plus how often the fund ended positive — a direct measure of consistency.
Frequently asked questions
What are the rolling returns of BANDHAN Balanced Advantage Fund?
Rolling returns for BANDHAN Balanced Advantage Fund measure its annualised return (CAGR) for every possible entry date across its history — not just one flattering period. The interactive chart shows its 1-year, 3-year, 5-year, 7-year and 10-year rolling returns, with the best, worst, median and average outcome for each window.
Is BANDHAN Balanced Advantage Fund a consistent performer?
Judge consistency by the share of positive periods and the gap between the best and worst rolling return. A high share of positive periods and a narrow range mean BANDHAN Balanced Advantage Fund delivered more reliably regardless of when you invested.
What is the 5-year return of BANDHAN Balanced Advantage Fund?
Rather than one 5-year number that depends on the start date, this tool shows the full range of 5-year returns BANDHAN Balanced Advantage Fund has delivered across every historical starting point — its best, worst, median and average 5-year CAGR.
How is BANDHAN Balanced Advantage Fund's performance calculated?
Returns are computed from BANDHAN Balanced Advantage Fund's official daily NAV history from AMFI via mfapi.in. Windows of one year or more show annualised CAGR; 1-month, 3-month and 6-month windows show absolute return.