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Summary Info
Fund Name Baroda BNP Paribas Mutual Fund
Scheme Name Baroda BNP Paribas Aggressive Hybrid Fund (G)
AMC Baroda BNP Paribas Mutual Fund
Type Open
Category Hybrid - Equity Oriented
Launch Date 17-Mar-17
Fund Manager Jitendra Sriram
Net Assets ()Cr 1,245.66
NAV Graph
  One Month   Three Month   Six Month   One Year   Three Year   Five Year   Since INC
Latest Payouts
Dividends Bonus
Ratio NA NA
Date NA NA
Performance(%)
1 Week[%] 1 Month[%] 3 Month[%] 6 Month[%] 1 Year[%] 3 Year[%] 5 Year[%] Since INC[%]
Scheme Return -0.19 2.26 3.19 -0.18 0.21 10.95 9.69 11.74
Category Avg -0.27 2.92 4.33 1.16 3.86 11.63 10.79 11.47
Category Best 0.75 5.06 13.69 13.03 21.09 24.41 23.82 33.52
Category Worst -1.03 -1.97 -3.10 -5.48 -7.88 0.96 3.10 -1.69
Holdings
Company Name No of Shares Market Value Hold %
HDFC Bank 792,000 63.20 5.07
ICICI Bank 450,000 61.88 4.97
Hitachi Energy 17,010 59.40 4.77
Reliance Industr 405,000 52.40 4.21
Larsen & Toubro 126,000 52.21 4.19
Bharti Airtel 135,000 25.00 2.01
Kotak Mah. Bank 630,000 24.71 1.98
Eternal 821,693 21.74 1.75
B H E L 495,000 20.50 1.65
Sun Pharma.Inds. 108,000 20.12 1.61
Linde India 26,018 19.02 1.53
Bosch 4,680 18.67 1.50
SBI 180,000 18.48 1.48
Infosys 180,000 18.01 1.45
TCS 81,000 16.46 1.32
Bajaj Finance 162,000 16.28 1.31
Maruti Suzuki 11,250 15.88 1.27
ITC 540,000 15.50 1.24
Oil India 360,000 15.01 1.20
Yes Bank 6,030,000 14.58 1.17
Bharat Electron 342,000 14.08 1.13
Federal Bank 405,000 13.37 1.07
Tech Mahindra 90,000 12.64 1.01
NLC India 360,000 11.59 0.93
Escorts Kubota 39,600 11.63 0.93
Hindustan Zinc 216,000 11.52 0.92
Tata Motors 270,000 11.42 0.92
JTEKT India 810,000 11.03 0.89
360 ONE 99,000 10.64 0.85
Gillette India 13,500 10.37 0.83
PB Fintech. 63,000 10.26 0.82
Leela Palaces Ho 216,000 10.27 0.82
Varun Beverages 198,000 10.05 0.81
LG Electronics 64,800 10.06 0.81
Nestle India 72,000 10.12 0.81
India Cements 256,541 9.67 0.78
Tata Capital 252,000 9.22 0.74
IndusInd Bank 99,000 9.15 0.73
Hero Motocorp 18,900 9.06 0.73
Titan Company 20,700 9.12 0.73
HDFC Life Insur. 153,000 8.81 0.71
Persistent Syste 19,800 8.57 0.69
Hind. Unilever 36,000 7.63 0.61
Power Grid Corpn 256,500 7.34 0.59
JSW Cement 540,000 7.29 0.58
Amagi Media Labs 129,611 7.27 0.58
Pine Labs 450,000 7.05 0.57
Orkla India 108,000 6.62 0.53
Mahanagar Gas 54,000 6.34 0.51
Sagility 1,440,000 5.67 0.46
Pfizer 11,700 5.19 0.42
Tata Power Co. 135,000 5.20 0.42
GMR Airports 270,000 3.03 0.24
Divi's Lab. 1,800 1.18 0.10
Fractal Analyt. 12,007 1.07 0.09
REC Ltd 2,500 25.03 2.01
S I D B I 2,300 23.12 1.86
Bharti Telecom 2,200 21.84 1.76
Piramal Finance. 226,546 16.51 1.33
E X I M Bank 1,500 15.11 1.21
Indostar Capital 150,000 15.06 1.21
India Infra Debt 1,300 13.01 1.04
Muthoot Finance 1,000 10.12 0.81
Bajaj Housing 100 10.02 0.80
Nuvoco Vistas 1,000 9.95 0.80
H P C L 800 8.09 0.65
Reliance Industr 50 5.20 0.42
Larsen & Toubro 500 5.06 0.41
NTPC 50 5.06 0.41
N A B A R D 500 5.00 0.40
Tata Capital 50 5.02 0.40
Natl. Hous. Bank 450 4.53 0.36
PNB Housing 300 3.02 0.24
GSEC2031 1,250,000 12.47 1.00
GSEC2027 1,100,000 11.18 0.90
GSEC2030 1,000,000 10.30 0.83
GSEC2026 1,000,000 10.01 0.80
GSEC2055 7.24 1,000,000 9.92 0.80
GSEC2054 1,000,000 9.74 0.78
GSEC2040 6.68 750,000 7.31 0.59
GSEC2031 500,000 5.12 0.41
GSEC2030 500,000 5.16 0.41
GSEC2034 300,000 3.01 0.24
TBILL-364D 300,000 2.91 0.23
C C I 0 18.78 1.51
India Universal Trust 10 9.27 0.74
Sansar Trust 200,000,000 4.53 0.36
Net CA & Others 0 6.49 0.53
Canara Bank 200 9.87 0.79
Union Bank (I) 200 9.57 0.77
Multi Comm. Exc. 39,375 11.19 0.90
Persistent Syste 2,250 0.98 0.08
Indus Inf. Trust 611,104 7.71 0.62
RaajMarg Infra 77,636 0.89 0.07
Cholaman.Inv.&Fn 500 5.97 0.48
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