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Summary Info
Fund Name Baroda BNP Paribas Mutual Fund
Scheme Name Baroda BNP Paribas Conservative Hybrid Fund-Reg (G)
AMC Baroda BNP Paribas Mutual Fund
Type Open
Category Hybrid - Debt Oriented
Launch Date 09-Aug-04
Fund Manager Paresh Jain
Net Assets ()Cr 944.15
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 -0.27 0.68 2.70 2.41 4.48 7.49 6.40 7.29
Category Avg -0.29 0.47 3.18 2.06 3.81 8.09 7.63 8.57
Category Best 0.12 2.05 11.20 11.13 10.49 12.08 11.07 12.10
Category Worst -0.69 -0.85 1.70 -0.38 0.15 4.97 5.26 5.63
Holdings
Company Name No of Shares Market Value Hold %
SBI 90,000 9.25 0.98
Larsen & Toubro 17,500 6.89 0.73
Axis Bank 52,500 6.45 0.68
Interglobe Aviat 12,500 6.46 0.68
ICICI Bank 40,000 5.74 0.61
Titan Company 11,000 5.36 0.57
TVS Motor Co. 12,264 5.29 0.56
NTPC 150,000 5.21 0.55
M & M 15,000 5.10 0.54
Cummins India 9,000 4.97 0.53
Ujjivan Small 700,000 5.02 0.53
Amagi Media Labs 75,000 4.88 0.52
Mankind Pharma 20,000 4.94 0.52
Divi's Lab. 6,000 4.83 0.51
B H E L 118,459 4.82 0.51
Pidilite Inds. 30,000 4.83 0.51
Bandhan Bank 275,000 4.79 0.51
Bajaj Finance 40,000 4.56 0.48
Karur Vysya Bank 130,000 4.45 0.47
H P C L 115,000 4.48 0.47
SBI Life Insuran 22,500 4.23 0.45
PNB Housing 40,000 4.21 0.45
Nippon Life Ind. 36,000 4.18 0.44
City Union Bank 200,000 4.13 0.44
Radico Khaitan 9,604 4.17 0.44
Fractal Analyt. 51,636 4.19 0.44
N S D L 50,000 4.08 0.43
Linde India 6,000 4.05 0.43
Aditya Birla Cap 100,000 4.04 0.43
Multi Comm. Exc. 14,625 3.94 0.42
Max Financial 24,294 3.64 0.39
Cholaman.Inv.&Fn 20,000 3.70 0.39
Bharat Electron 90,000 3.49 0.37
AU Small Finance 33,800 3.54 0.37
KEI Industries 6,389 3.19 0.34
Maruti Suzuki 2,250 3.20 0.34
Tata Motors 70,000 3.06 0.32
Kotak Mah. Bank 76,000 2.97 0.31
Tech Mahindra 17,062 2.82 0.30
Lupin 10,000 2.42 0.26
Infosys 20,000 2.26 0.24
HDFC Bank 25,000 1.87 0.20
Vishal Mega Mart 171,111 1.83 0.19
Hitachi Energy 500 1.61 0.17
Fine Organic 3,262 1.57 0.17
Reliance Industr 460 47.66 5.05
REC Ltd 3,422 34.25 3.62
Power Fin.Corpn. 3,300 32.95 3.49
I R F C 250 25.28 2.68
Shriram Finance 2,100 21.26 2.25
N A B A R D 2,000 20.02 2.12
Bajaj Housing 200 20.03 2.12
Natl. Hous. Bank 1,900 19.06 2.02
E X I M Bank 1,900 19.08 2.02
Bharti Telecom 1,900 18.84 1.99
PNB Housing 1,800 18.09 1.92
S I D B I 1,800 18.04 1.91
Bajaj Finance 1,800 17.87 1.89
Piramal Finance. 218,175 16.05 1.70
Torrent Power 1,600 16.05 1.70
Tata Cap.Hsg. 1,500 15.00 1.59
Nomura Capital 1,000 10.01 1.06
Muthoot Finance 1,000 10.02 1.06
Aadhar Hsg. Fin. 1,000 10.02 1.06
Cholaman.Inv.&Fn 1,000 9.96 1.06
Manappuram Fin. 1,000 9.98 1.06
H P C L 80 8.05 0.85
NTPC 80 8.05 0.85
I O C L 700 7.03 0.74
Torrent Pharma. 700 6.97 0.74
LIC Housing Fin. 500 5.01 0.53
Larsen & Toubro 500 5.04 0.53
Jamnagar Utiliti 500 5.03 0.53
UltraTech Cem. 500 5.01 0.53
Mankind Pharma 500 5.02 0.53
Embassy Off.REIT 500 4.97 0.53
GSEC2040 6.68 2,099,970 20.38 2.16
GSEC2055 7.24 1,900,000 18.49 1.96
GSEC2054 1,500,000 14.38 1.52
GSEC2030 1,000,000 10.30 1.09
Gsec2036 1,000,000 9.99 1.06
GSEC2031 800,000 8.04 0.85
GSEC2027 500,000 5.07 0.54
GSEC2036 500,000 5.04 0.53
GSEC2065 464,300 4.25 0.45
GSEC2028 400,000 4.12 0.44
GSEC2027 100,000 1.01 0.11
GSEC2029 1,900 0.02 0.00
C C I 0 101.04 10.70
Vajra Trust 13 12.92 1.37
India Universal Trust 6 3.65 0.39
Sansar Trust 150,000,000 2.92 0.31
Net CA & Others 0 17.47 1.86
TVS Motor Co. 46,856 0.05 0.01
Muthoot Finance 1,300 13.01 1.38
Union Bank (I) 300 14.42 1.53
N A B A R D 200 9.67 1.02
S I D B I 100 4.81 0.51
CDMDF 2,266 2.70 0.29
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