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

  • Scheme Category:  
  • Hybrid Scheme >  
  • Multi Asset Allocation Fund
NAV: ₹ 15.8320 ↓ -0.22%
[as on 23 January, 2026]

NAV chart

SMA (Simple Moving Average)

  • 50 SMA
  • 100 SMA
  • 200 SMA
  • 400 SMA

Returns

NameYTD1D1W1M3M1Y3Y5Y7Y10Y
Baroda BNP Paribas Multi Asset Fund - Regular Plan - Growth Option -0.79% -0.22% -0.53% -1.19% 1.54% 15.34% 16.46%---

Portfolio

Asset allocation

EquityDebtRealestateCommoditiesCash & Equivalents
86.88% 8.90% (Arbitrage: 0.00%) 1.48% 0.00% 2.74%

Equity

NameSymbol / ISINSectorWeight %
HDFC Bank LimitedHDFCBANK (INE040A01034)Banks7.12%
ICICI Bank LimitedICICIBANK (INE090A01021)Banks6.50%
Reliance Industries LimitedRELIANCE (INE002A01018)Petroleum Products5.25%
Larsen & Toubro LimitedLT (INE018A01030)Construction4.36%
Bharti Airtel LimitedBHARTIARTL (INE397D01024)Telecom - Services3.26%
Hitachi Energy India LimitedPOWERINDIA (INE07Y701011)Electrical Equipment2.88%
Infosys LimitedINFY (INE009A01021)IT - Software2.78%
Tata Consultancy Services LimitedTCS (INE467B01029)IT - Software1.98%
Linde India LimitedLINDEINDIA (INE473A01011)Chemicals & Petrochemicals1.95%
Kotak Mahindra Bank LimitedKOTAKBANK (INE237A01028)Banks1.82%
Hero MotoCorp LimitedHEROMOTOCO (INE158A01026)Automobiles1.80%
Bajaj Finance LimitedBAJFINANCE (INE296A01032)Finance1.73%
Sun Pharmaceutical Industries LimitedSUNPHARMA (INE044A01036)Pharmaceuticals & Biotechnology1.71%
NLC India LimitedNLCINDIA (INE589A01014)Power1.70%
State Bank of IndiaSBIN (INE062A01020)Banks1.69%
Escorts Kubota LimitedESCORTS (INE042A01014)Agricultural, Commercial & Construction Vehicles1.64%
Bosch LimitedBOSCHLTD (INE323A01026)Auto Components1.53%
Nestle India LimitedNESTLEIND (INE239A01024)Food Products1.47%
NTPC LimitedNTPC (INE733E01010)Power1.46%
Trent LimitedTRENT (INE849A01020)Retailing1.35%
Cipla LimitedCIPLA (INE059A01026)Pharmaceuticals & Biotechnology1.30%
Grasim Industries LimitedGRASIM (INE047A01021)Cement & Cement Products1.25%
Yes Bank LimitedYESBANK (INE528G01035)Banks1.05%
Bharat Heavy Electricals LimitedBHEL (INE257A01026)Electrical Equipment0.96%
TVS Motor Company LimitedTVSMOTOR (INE494B01023)Automobiles0.92%
The India Cements LimitedINDIACEM (INE383A01012)Cement & Cement Products0.87%
Persistent Systems LimitedPERSISTENT (INE262H01021)IT - Software0.85%
Hindustan Unilever LimitedHINDUNILVR (INE030A01027)Diversified FMCG0.78%
Leela Palaces Hotels & Resorts LimitedTHELEELA (INE0AQ201015)Leisure Services0.78%
Dr. Reddy's Laboratories LimitedDRREDDY (INE089A01031)Pharmaceuticals & Biotechnology0.78%
The Federal Bank LimitedFEDERALBNK (INE171A01029)Banks0.77%
Eternal LimitedETERNAL (INE758T01015)Retailing0.73%
LG Electronics India LtdLGEINDIA (INE324D01010)Consumer Durables0.72%
360 One WAM Limited360ONE (INE466L01038)Capital Markets0.70%
Hindustan Zinc LimitedHINDZINC (INE267A01025)Non - Ferrous Metals0.69%
Varun Beverages LimitedVBL (INE200M01039)Beverages0.64%
HDB Financial Services LimitedHDBFS (INE756I01012)Finance0.63%
JSW Cement LimitedJSWCEMENT (INE718I01012)Cement & Cement Products0.59%
Travel Food Services LimitedTRAVELFOOD (INE103V01028)Leisure Services0.55%
Pfizer LimitedPFIZER (INE182A01018)Pharmaceuticals & Biotechnology0.46%
GMR Airports LimitedGMRAIRPORT (INE776C01039)Transport Infrastructure0.26%
Orkla India LimitedINE16NZ01023Miscellaneous0.54%
Baroda BNP Paribas Gold ETF-RGINF251K01SU9 8.29%
Nippon India ETF Gold BeesINF204KB17I5 7.79%

Debt

NameRatingWeight %
7.09% Government of India (05/08/2054)Sovereign2.75%
7.37% Indian Railway Finance Corporation Limited (31/07/2029) **CRISIL AAA2.04%
7.53% National Bank For Agriculture and Rural Development (24/03/2028)ICRA AAA1.22%
7.32% Government of India (13/11/2030)Sovereign0.84%
8.85% Muthoot Finance Limited (30/01/2029) **CRISIL AA+0.82%
7.35% Export Import Bank of India (27/07/2028)CRISIL AAA0.82%
7.12% Export Import Bank of India (27/06/2030) **CRISIL AAA0.41%
Portfolio data is as on date 31 October, 2025

NAV (Net asset value) history

Baroda BNP Paribas Multi Asset Fund - Regular Plan - Growth Option - 30 days NAV history

DateNAV
23 January, 202615.8320
22 January, 202615.8666
21 January, 202616.0271
20 January, 202615.8674
19 January, 202615.9309
16 January, 202615.9160
14 January, 202615.9122
13 January, 202615.9078
12 January, 202615.9405
9 January, 202615.8505
8 January, 202615.9126
7 January, 202616.1046
6 January, 202616.0967
5 January, 202616.1077
2 January, 202616.1203
1 January, 202615.9574
31 December, 202515.9120
30 December, 202515.8724
29 December, 202515.9281
26 December, 202515.9803
24 December, 202515.9888
23 December, 202516.0228
22 December, 202515.9755
19 December, 202515.8572
18 December, 202515.8043
17 December, 202515.8466
16 December, 202515.8519
15 December, 202515.9361
12 December, 202515.8935
11 December, 202515.7512

FAQ (Frequently asked questions)

  • What is latest/current NAV/price of Baroda BNP Paribas Multi Asset Fund - Regular Plan - Growth Option?
    The latest NAV of Baroda BNP Paribas Multi Asset Fund - Regular Plan - Growth Option is 15.8320 as on 23 January, 2026.
  • What are YTD (year to date) returns of Baroda BNP Paribas Multi Asset Fund - Regular Plan - Growth Option?
    The YTD (year to date) returns of Baroda BNP Paribas Multi Asset Fund - Regular Plan - Growth Option are -0.79% as on 23 January, 2026.
  • What are 1 year returns of Baroda BNP Paribas Multi Asset Fund - Regular Plan - Growth Option?
    The 1 year returns of Baroda BNP Paribas Multi Asset Fund - Regular Plan - Growth Option are 15.34% as on 23 January, 2026.
  • What are 3 year CAGR returns of Baroda BNP Paribas Multi Asset Fund - Regular Plan - Growth Option?
    The 3 year annualized returns (CAGR) of Baroda BNP Paribas Multi Asset Fund - Regular Plan - Growth Option are 16.46% as on 23 January, 2026.