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Multi Asset / Dynamicregulargrowth📊 NIFTY 50 Hybrid Composite Debt 65:35 Index(SEBI default)

Baroda BNP Paribas Multi Asset Fund - Regular Plan - Growth Option

Baroda BNP Paribas Mutual Fund

#18 of 28 (1Y)

₹16.0921

0.13 (-0.79%)

NAV as of 29 May 2026

Today's NAV — all variants

Regular · Growth

₹₹16.0921

0.13 (-0.79%)

29 May 2026

AMFI: 150863

Direct · Growth

₹₹16.8710

0.13 (-0.79%)

29 May 2026

AMFI: 150865

Regular · IDCW

₹₹14.0642

0.11 (-0.79%)

29 May 2026

AMFI: 150864

Direct · IDCW

₹₹15.0119

0.12 (-0.79%)

29 May 2026

AMFI: 150866

Returns (Lumpsum)

CAGR for periods ≥ 1 year
1 Week+0.03%
1 Month+0.13%
3 Months-1.42%
6 Months+2.25%
1 Year+9.23%
3 Years (CAGR)+16.32%
5 Years (CAGR)
10 Years (CAGR)
Since Inception (Dec 2022)+14.86%

SIP Returns (XIRR)

₹1,000/month SIP, annualised
1 Year SIP+8.79%
3 Year SIP+12.17%
5 Year SIP
Since Inception (Dec 2022)+13.03%

SIP since inception — what ₹500/month became

Real NAV backtest from day one

₹20,500

Invested

₹25,508

Value today

12.9%

XIRR (p.a.)

500/month SIP from fund inception · Current value as of today

Try SIP Calculator with this fund's history

1,000 lumpsum at launch — value today

Invested on the fund's first NAV date

₹1,000

Invested

₹1,609

Value today

14.8%

CAGR (p.a.)

One-time investment at fund inception · Growth purely from NAV appreciation

Try Lumpsum Calculator

₹6L corpus via 12-month STP from a liquid fund at inception

₹50K/month transferred from HDFC Liquid → this fund at launch

₹6,00,000

Invested

₹9,45,124

Value today

-2.1%

vs lumpsum

Direct lumpsum would have beaten STP by 2.1% — but STP reduced timing risk

Model your own STP with real NAV

Direct vs Regular — ₹500/month over 3 years

Expense ratio drag on your actual returns

Direct plan

₹22,740

Regular plan

₹22,276

Direct earns ₹464 more on a ₹18K investment0.86% extra return per year

Same fund, same NAV history — only the expense ratio differs. Direct plans always outperform Regular over time.

Learn about Direct vs Regular plans

Fund Details

Fund HouseBaroda BNP Paribas Mutual Fund
CategoryMulti Asset / Dynamic
Plan Typeregular
Optiongrowth
AUM₹1,363 Cr
Expense Ratio2.05%
Min SIP₹500
Min Lumpsum₹1,000
BenchmarkNIFTY 50 Hybrid Composite Debt 65:35 Index
Launch Date19 Dec 2022
AMFI Code150863

Risk Metrics

Trailing 1 year, annualised

0.23

Sharpe Ratio

Alpha

Beta

0.23

Sortino

11.43%

Std Dev

-10.44%

Max Drawdown

Portfolio Holdings

Top 50 holdings · as of Mar 2026

Equity22 holdings · 50.7%
Security% NAV

HDFC Bank Limited

INE040A01034

4.59%

Reliance Industries Limited

INE002A01018

4.57%

Hitachi Energy India Limited

INE07Y701011

4.54%

ICICI Bank Limited

INE090A01021

4.36%

Larsen & Toubro Limited

INE018A01030

3.72%

Bharti Airtel Limited

INE397D01024

2.65%

Linde India Limited

INE473A01011

2.15%

Infosys Limited

INE009A01021

1.96%

State Bank of India

INE062A01020

1.84%

NLC India Limited

INE589A01014

1.82%

7.58% National Bank For Agriculture and Rural Development (31/07/2026)

INE261F08DX0

1.78%

7.44% REC Limited (29/02/2028)

INE020B08FR6

1.77%

Eternal Limited

INE758T01015

1.67%

6.68% Government of India (07/07/2040)

IN0020250042

1.67%

Sun Pharmaceutical Industries Limited

INE044A01036

1.62%

Tata Consultancy Services Limited

INE467B01029

1.50%

Nestle India Limited

INE239A01024

1.49%

NTPC Limited

INE733E01010

1.48%

Kotak Mahindra Bank Limited

INE237A01036

1.47%

Bajaj Finance Limited

INE296A01032

1.38%

Bharat Heavy Electricals Limited

INE257A01026

1.35%

Hero MotoCorp Limited

INE158A01026

1.30%
Debt4 holdings · 7.0%
Security% NAV

Union Bank of India (02/03/2027) ** #

INE692A16LM6

1.81%

LIC Housing Finance Limited (11/03/2027) **

INE115A14FT0

1.81%

Union Bank of India (02/03/2027) ** #

INE692A16LM6

1.67%

LIC Housing Finance Limited (11/03/2027) **

INE115A14FT0

1.67%
Fund Units4 holdings · 30.5%
Security% NAV

Nippon India ETF Gold Bees

INF204KB17I5

8.52%

Nippon India ETF Gold Bees

INF204KB17I5

7.97%

Baroda BNP Paribas Gold ETF-RG

INF251K01SU9

7.24%

Baroda BNP Paribas Gold ETF-RG

INF251K01SU9

6.73%
Other20 holdings · 47.5%
Security% NAV

HDFC Bank Limited

INE040A01034

4.74%

Reliance Industries Limited

INE002A01018

4.68%

ICICI Bank Limited

INE090A01021

4.54%

Hitachi Energy India Limited

INE07Y701011

3.60%

Larsen & Toubro Limited

INE018A01030

3.54%

Bharti Airtel Limited

INE397D01024

2.73%

Infosys Limited

INE009A01021

2.26%

Linde India Limited

INE473A01011

2.19%

7.44% REC Limited (29/02/2028) **

INE020B08FR6

1.93%

State Bank of India

INE062A01020

1.84%

6.68% Government of India (07/07/2040)

IN0020250042

1.81%

Sun Pharmaceutical Industries Limited

INE044A01036

1.71%

Eternal Limited

INE758T01015

1.69%

NLC India Limited

INE589A01014

1.68%

Tata Consultancy Services Limited

INE467B01029

1.56%

NTPC Limited

INE733E01010

1.50%

Kotak Mahindra Bank Limited

INE237A01036

1.48%

Hero MotoCorp Limited

INE158A01026

1.41%

Nestle India Limited

INE239A01024

1.31%

Bajaj Finance Limited

INE296A01032

1.28%

Performance Comparison

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Investment Objective

Baroda BNP Paribas Multi Asset Fund - Regular Plan - Growth Option invests across at least three asset classes — equity, debt, and one more (gold, international equity, or REITs) — with a minimum 10% in each. This diversification aims to reduce portfolio volatility and provide more stable returns.

About This Fund

Baroda BNP Paribas Multi Asset Fund - Regular Plan - Growth Option is a Multi Asset / Dynamic mutual fund offered by Baroda BNP Paribas Mutual Fund. The fund has been operational for over 3 years. It manages assets worth ₹1,363 Cr, reflecting investor confidence in the fund's strategy. It benchmarks its performance against NIFTY 50 Hybrid Composite Debt 65:35 Index. The current expense ratio is 2.05%.

Who Should Invest?

  • Investors with a high risk appetite seeking long-term wealth creation
  • Investors with an investment horizon of 5 years or more
  • SIP investors who can benefit from rupee cost averaging during market fluctuations