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Summary Info
Fund Name Baroda BNP Paribas Mutual Fund
Scheme Name Baroda BNP Paribas Conservative Hybrid Fund-Dir (G)
AMC Baroda BNP Paribas Mutual Fund
Type Open
Category Hybrid - Debt Oriented
Launch Date 01-Jan-13
Fund Manager Pratish Krishnan
Net Assets ()Cr 819.70
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 -0.71 -0.68 -0.42 5.83 5.23 9.78 9.11 9.52
Category Avg -0.65 -0.90 -0.67 5.52 4.11 9.26 9.50 8.90
Category Best 0.02 0.18 1.33 8.34 8.04 12.78 13.77 12.22
Category Worst -1.35 -2.05 -2.87 1.22 0.03 6.29 5.57 5.66
Holdings
Company Name No of Shares Market Value Hold %
HDFC Bank 84,242 16.77 2.05
ICICI Bank 89,000 12.70 1.55
Reliance Industr 59,900 8.23 1.00
Larsen & Toubro 15,079 5.54 0.68
Infosys 37,730 5.46 0.67
Tech Mahindra 35,400 5.26 0.64
Cummins India 12,500 4.73 0.58
SBI 51,861 4.29 0.52
Bharti Airtel 22,750 4.26 0.52
Eternal Ltd 132,892 4.23 0.52
Sagility India 932,600 4.14 0.50
Travel Food 35,653 3.98 0.49
Interglobe Aviat 6,700 4.02 0.49
Hexaware Tech. 56,511 4.05 0.49
AU Small Finance 51,700 3.88 0.47
Radico Khaitan 13,500 3.86 0.47
Bajaj Finance 45,000 3.88 0.47
Axis Bank 36,000 3.85 0.47
NTPC 114,500 3.89 0.47
Divi's Lab. 6,200 3.80 0.46
PB Fintech. 20,200 3.71 0.45
Linde India 6,000 3.73 0.45
M & M 10,800 3.53 0.43
TVS Motor Co. 11,714 3.54 0.43
Hitachi Energy 1,724 3.52 0.43
Sun Pharma.Inds. 21,000 3.45 0.42
Trent 6,072 3.26 0.40
Britannia Inds. 5,850 3.10 0.38
Amber Enterp. 4,500 3.10 0.38
Persistent Sys 5,900 3.12 0.38
Kotak Mah. Bank 15,200 3.01 0.37
Indiqube Spaces 143,655 3.07 0.37
UltraTech Cem. 2,400 2.96 0.36
Rainbow Child. 17,500 2.72 0.33
Indian Hotels Co 35,000 2.71 0.33
Hindalco Inds. 37,500 2.61 0.32
Titan Company 7,200 2.51 0.31
Vishal Mega Mart 171,111 2.51 0.31
Cholaman.Inv.&Fn 17,000 2.48 0.30
Max Financial 14,800 2.37 0.29
B H E L 106,000 2.35 0.29
Multi Comm. Exc. 2,925 2.38 0.29
Bharti Hexacom 13,501 2.30 0.28
Aditya Birla Cap 80,000 2.18 0.27
Mrs Bectors 15,577 2.17 0.27
Tega Inds. 11,225 2.08 0.25
Concord Biotech 12,395 2.04 0.25
Vinati Organics 11,663 1.95 0.24
I R F C 2,675 42.79 5.22
E X I M Bank 3,300 33.47 4.08
Jamnagar Utiliti 3,000 30.71 3.75
S I D B I 2,700 27.47 3.35
Natl. Hous. Bank 2,200 22.45 2.74
N A B A R D 2,150 21.89 2.67
Bajaj Finance 2,000 20.29 2.48
Indostar Capital 100,750 17.67 2.16
JSW Steel 170 17.07 2.08
Tata Cap.Hsg. 1,500 15.20 1.85
Nomura Capital 1,500 15.19 1.85
Piramal Finance. 188,175 14.40 1.76
Muthoot Finance 1,300 13.34 1.63
Shriram Finance 1,300 13.22 1.61
Reliance Industr 120 12.68 1.55
Bharti Telecom 1,000 10.25 1.25
LIC Housing Fin. 1,000 10.19 1.24
Motilal Osw.Home 1,000 10.12 1.23
H P C L 80 8.18 1.00
UltraTech Cem. 500 5.09 0.62
REC Ltd 500 5.07 0.62
Embassy Off.REIT 500 5.03 0.61
NTPC 500 4.96 0.61
Power Fin.Corpn. 300 3.04 0.37
360 One Prime 15,000 1.51 0.18
Nirma 90 0.91 0.11
GSEC2064 10,678,600 108.49 13.24
GSEC2035 3,000,000 29.84 3.64
GSEC2034 2,500,000 25.52 3.11
GSEC2030 6.01 1,000,000 9.92 1.21
GSEC2027 500,000 5.14 0.63
GSEC2027 100,000 1.02 0.12
GSEC2025 50,000 0.53 0.06
GSEC2029 1,900 0.02 0.00
C C I 0 27.70 3.38
Vajra Trust 13 12.95 1.58
Sansar Trust 150,000,000 12.11 1.48
India Universal Trust 6 5.09 0.62
Net CA & Others 0 7.65 0.94
CDMDF 2,010 2.27 0.28