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3 Year return

8.82%
20222022Jul '22Jul '2220232023Jul '23Jul '2320242024
Launched on January 2013 (12 years)

Investment Details

₹500

Minimum SIP Amount

₹1000

Minimum one time investment

Fund has no lock-in period

Calculate Returns

Based on past performance of this fund

ENTER AMOUNT

Your Investment ₹18,000
Gain
  • 14.84%
  • ₹2,671
  • Total Value
  • ₹20,671

Risk Involved

scale

Your principal will be at

Moderately High Risk

Scheme Information

Asset Under Management

₹594.23 Cr.

Expense Ratio

0.56% (inclusive of GST)

Exit Load

1.00% - If redeemed / Switched out within 6 Months from the date of allotment. Nil - If redeemed / switched out after 6 Months from the date of allotment.

Ratings

ARQ Rating
1.5

Ratings by other agencies

4
1
3

Tax Implications

Withdrawal within 3 years

Tax based on your income tax bracket

Withdrawal after 3 years

20% tax after indexation (adjusting for inflation)

Fund Holdings

Holdings
₹594.23Crores
Top Holdings% of Asset
Reliance Industries Ltd5.24%
Embassy Office Parks REIT3.62%
Hindustan Petroleum Corporation Ltd3.21%
JSW Steel Ltd2.86%
REC Ltd2.53%
Others82.54%
Other Holdings% of Asset
NTPC Ltd2.52%
Indian Railway Finance Corporation Ltd2.52%
Indian Oil Corporation Ltd2.52%
Muthoot Finance Ltd2.51%
Indian Railway Finance Corporation Ltd1.75%
Mindspace Business Parks REIT1.69%
Indostar Capital Finance Ltd1.68%
ICICI Bank Ltd1.65%
Motilal Oswal Financial Services Ltd1.64%
HDFC Bank Ltd1.54%
Reliance Industries Ltd1.33%
Brookfield India Real Estate Trust1.23%
Steel Authority of India Ltd1.01%
Power Finance Corporation Ltd0.84%
Larsen & Toubro Ltd0.82%
Bharat Heavy Electricals Ltd0.71%
Eternal Ltd0.70%
Hitachi Energy India Ltd0.69%
Tata Consultancy Services Ltd0.66%
Trent Ltd0.64%
Axis Bank Ltd0.63%
Nestle India Ltd0.53%
PB Fintech Ltd0.53%
NHPC Ltd0.53%
Sun Pharmaceutical Industries Ltd0.53%
Bharti Airtel Ltd0.50%
Tata Motors Ltd0.50%
IndusInd Bank Ltd0.45%
Indian Hotels Co Ltd0.44%
J B Chemicals & Pharmaceuticals Ltd0.43%
Indian Railway Finance Corporation Ltd0.42%
Indian Bank0.42%
TVS Motor Company Ltd0.41%
NLC India Ltd0.40%
Brigade Enterprises Ltd0.39%
Jammu and Kashmir Bank Ltd0.39%
Oracle Financial Services Software Ltd0.38%
Concord Biotech Ltd0.36%
AIA Engineering Ltd0.34%
Mankind Pharma Ltd0.33%
State Bank of India0.32%
KEI Industries Ltd0.32%
Rainbow Childrens Medicare Ltd0.31%
Mphasis Ltd0.30%
BSE Ltd0.29%
Infosys Ltd0.27%
Grasim Industries Ltd0.26%
Titan Company Ltd0.26%
Bosch Ltd0.25%
Power Grid Corporation of India Ltd0.25%
eClerx Services Ltd0.25%
Westlife Foodworld Ltd0.24%
Tata Technologies Ltd0.22%
ITC Ltd0.22%
Bajaj Finance Ltd0.21%
UltraTech Cement Ltd0.21%
Vodafone Idea Ltd0.18%
Bharti Hexacom Ltd0.00%

Baroda BNP Paribas Mutual Fund Managers

MP

Mayank Prakash

Fund Manager since Dec 2017

View Details

Fund House Details

Baroda BNP Paribas Mutual Fund

Baroda BNP Paribas Mutual Fund Asset management company

AUM ₹35,646.46 Cr.
No. of Schemes 127
Setup Date 15 April 2004

Peer Comparison

Comparison with other similar funds

Schemes by Baroda BNP Paribas Mutual Fund

List of mutual fund schemes by AMC

Key Features of The Fund

5-year return 8.72%
Expense Ratio 0.56%
Fund Manager Mayank Prakash
Fund Size ₹594.23 Cr
Risk Profile Moderately High

AMC Contact Details

Name Baroda BNP Paribas Mutual Fund
Launch Date 15 April 2004
Addresss Baroda BNP Paribas Asset Management India Pvt. Ltd. Crescenzo, 7th Floor, G-Block, Bandra Kurla Complex, Mumbai - 400051
Contact 022 69209600
Email service@barodabnpparibasmf.in
Website https://www.barodabnpparibasmf.in/

Disclaimer: Mutual funds are subject to market risk. Read all scheme-related documents carefully to make informed-decision.

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FAQs

What is today's NAV of Baroda BNP Paribas Conservative Hybrid Fund Direct Plan Monthly IDCW Reinvestment?

NAV, or Net Asset Value, is the price of a single unit of a mutual fund. It is calculated by dividing the current value of holdings held by the mutual fund scheme at the end of the day by the total number of units issued. The NAV changes every day. The NAV of Baroda BNP Paribas Conservative Hybrid Fund Direct Plan Monthly IDCW Reinvestment on May 29 2024, is ₹13.2789

FAQs

What is today's NAV of Baroda BNP Paribas Conservative Hybrid Fund Direct Plan Monthly IDCW Reinvestment?

NAV, or Net Asset Value, is the price of a single unit of a mutual fund. It is calculated by dividing the current value of holdings held by the mutual fund scheme at the end of the day by the total number of units issued. The NAV changes every day. The NAV of Baroda BNP Paribas Conservative Hybrid Fund Direct Plan Monthly IDCW Reinvestment on May 29 2024, is ₹13.2789