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This is an Hybrid Sectoral/Thematic, Infrastructure fund with NIFTY Equity Savings Index TRI The risk level for this fund is categorized as Moderately high Risk.
AUM
236.33 Crores
EXIT LOAD
1.38%
STATED BENCHMARK
NIFTY Equity Savings Index TRI Hybrid
INVESTMENT AMOUNTS
₹ 500
Bars show distribution of returns in a given range for a selected time period.
VIEW RETURNS1 YRS CAGR |
3 YRS CAGR |
5 YRS CAGR |
Since Inception | |
---|---|---|---|---|
This Scheme | 16.03% | 8.06% | N.A.* | 8.70% |
NIFTY Equity Savings Index TRI** | 14.90% | 9.43% | N.A.* | 10.11% |
CRISIL 10 Year Gilt Index | 9.39% | 4.37% | N.A.* | 4.75% |
VALUE of ₹10,000 INVESTED IN | 1 YRS |
3 YRS |
5 YRS |
Since Inception |
---|---|---|---|---|
This Scheme | ₹11,607.48 | ₹12,625.71 | N.A.* | ₹14,683.70 |
NIFTY Equity Savings Index TRI** | ₹11,493.96 | ₹13,112.60 | N.A.* | ₹15,579.40 |
CRISIL 10 Year Gilt Index*** | ₹10,941.83 | ₹11,374.30 | N.A.* | ₹12,379.90 |
The primary objective of the Scheme is to generate capital appreciation and income by using arbitrage opportunities, investment in equity / equity related instruments and debt/money market instruments. However, there can be no assurance that the investment objectives of the Scheme will be realized. The Scheme does not guarantee/indicate any returns.
Entry Load : Not Applicable Exit Load: • If units are redeemed upto 10% of the units held, on or before one year from the date of allotment : Nil • If units are redeemed over and above the 10% limit, on or before one year from the date of allotment : 1% of the applicable Net Asset Value (NAV) • If units are redeemed after one year from the date of allotment: Nil
Rs 1000/month - 6 Installments RS 1500/quarter - 4 Installments SIP Frequency - Daily/Weekly/Fortnightly/Monthly/Quarterly
Rs 1000/month - 6 Installments RS 1500/quarter - 4 Installments SIP Frequency - Daily/Weekly/Fortnightly/Monthly/Quarterly
Withdrawal must be for a minimum amount of Rs. 1,000/- or in multiples of Re.1/- thereafter in Weekly / Monthly SWP and Rs. 1,500/- and in multiples of Re.1/- thereafter in Quarterly SWP. An investor will have to opt for a minimum of 6 transactions under Weekly / Monthly SWP and 4 transactions under Quarterly SWP.
As per the SEBI (MF) Regulations, the Mutual Fund shall despatch redemption proceeds within 10 Business Days of receiving the valid redemption / repurchase request at any of the Official Points of Acceptance of Transactions (OPAT). A penal interest of 15%
Pratish Krishnan
Fund Manager & Senior Analyst
Managing this fund since November 2018
Mr. Pratish Krishnan has over 20 years of experience in equity markets covering equity research and fund management. Mr. Krishnan was designated as Fund Manager & Senior Analyst with Baroda Asset Management India Limited. In his previous assignment, he has worked with leading institutional brokerage houses such as Antique Finance, Bank of America Merrill Lynch, SBI Capital Markets in equity research.
Mayank Prakash
Deputy Head - Fixed Income
Managing this fund since November 2018
Mr. Prakash has 14 years of robust experience in debt fund management.. As a fund manager, he develops fixed-income portfolios and processes market analytics that helps clients stay ahead of the curve. In his previous stint, Mr. Prakash was fund manager with Kotak Mahindra Asset Management Co Ltd. and has also helped research equities.Mr. Prakash is a Chartered Accountant and has completed his Master’s in Business Administration from Kanpur University.
An open ended balanced advantage fund.
Hybrid
15.0811 10.02%
NAV as on 17 May, 2024
Risk Label - Moderately high
8.7%
Returns
1.93% as of Jun 13, 2024
Expense Ratio
0.34 last 12 months
Portfolio turnover
DATE OF ALLOTMENT
July 25, 2019
Investment Type
Long Term
Fund Manager
Pratish Krishnan
Schemes (Benchmark Index) | 1 Year CAGR | 3 Year CAGR | 5 Year CAGR | |||
---|---|---|---|---|---|---|
Scheme Returns | Benchmark Returns | Scheme Returns | Benchmark Returns | Scheme Returns | Benchmark Returns | |
Baroda BNP Paribas ELSS Tax Saver Fund (Nifty 500 TRI) | 39.84% | 39.58% | 16.99% | 19.34% | 17.72% | 18.79% |
Period for which scheme's performance has been provided is computed basis last day of the month-end preceding the date of advertisement.
Past performance may or may not be sustained in future and should not be used as a basis of comparison with other investments. Returns do not take into account the load, if any. Returns are for growth option. Different plans shall have a different expense structure. The performance details provided above are for regular/distributor plan.
For Fund Manager(s) & Managing Since Details click here
*Where returns are not available for that particular period, they have not been shown.
Schemes (Benchmark Index) | 1 Year CAGR | 3 Year CAGR | 5 Year CAGR | |||
---|---|---|---|---|---|---|
Scheme Returns | Benchmark Returns | Scheme Returns | Benchmark Returns | Scheme Returns | Benchmark Returns | |
Baroda BNP Paribas Banking and PSU Bond Fund (CRISIL Banking and PSU Debt Index) | 8.02% | 8.02% | 5.16% | 5.16% | N.A.* | N.A.* |
Baroda BNP Paribas Corporate Bond Fund (CRISIL Corporate Bond Composite Index) | 7.89% | 7.72% | 4.44% | 6.31% | 4.32% | 7.14% |
Baroda BNP Paribas Dynamic Bond Fund (CRISIL Composite Bond Fund Index) | 8.21% | 7.34% | 5.17% | 6.70% | 5.74% | 8.36% |
Baroda BNP Paribas Equity Savings Fund (NIFTY Equity Savings Index TRI) | 16.03% | 14.90% | 8.06% | 9.43% | N.A.* | N.A.* |
Baroda BNP Paribas GILT Fund (CRISIL Dynamic Gilt Index) | 9.23% | 9.23% | 5.11% | 5.73% | 6.31% | 7.32% |
Baroda BNP Paribas Medium Duration Fund (CRISIL Medium Term Debt Index) | 8.17% | 7.08% | 5.04% | 6.19% | 3.64% | 7.94% |
Baroda BNP Paribas Short Duration Fund (CRISIL Short Term Bond Fund Index) | 7.68% | 7.98% | 5.10% | 6.05% | 6.05% | 7.14% |
Baroda BNP Paribas NIFTY SDL December 2026 INDEX Fund (NIFTY SDL December 2026 Index) | 7.76% | 8.44% | N.A.* | N.A.* | N.A.* | N.A.* |
Baroda BNP Paribas NIFTY SDL December 2028 INDEX Fund (NIFTY SDL DECEMBER 2028 INDEX) | N.A.* | N.A.* | N.A.* | N.A.* | N.A.* | N.A.* |
Baroda BNP Paribas Floater Fund (CRISIL Low Duration Debt Index) | N.A.* | N.A.* | N.A.* | N.A.* | N.A.* | N.A.* |
Period for which scheme's performance has been provided is computed basis last day of the month-end preceding the date of advertisement.
Past performance may or may not be sustained in future and should not be used as a basis of comparison with other investments. Returns do not take into account the load, if any. Returns are for growth option. Different plans shall have a different expense structure. The performance details provided above are for regular/distributor plan.
For Fund Manager(s) & Managing Since Details click here
*Where returns are not available for that particular period, they have not been shown.