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Fund Overview

Fund Size

Fund Size

₹301 Cr

Expense Ratio

Expense Ratio

2.27%

ISIN

ISIN

INF251K01TH4

Minimum SIP

Minimum SIP

₹1,000

Exit Load

Exit Load

No Charges

Inception Date

Inception Date

31 May 2024

About this fund

This fund has been in existence for 3 months and 7 days, having been launched on 31-May-24.
As of 05-Sep-24, it has a Net Asset Value (NAV) of ₹10.93, Assets Under Management (AUM) of 301.13 Crores, and an expense ratio of 2.27%.
  • Baroda BNP Paribas Retirement Fund Regular Growth has given a CAGR return of 9.41% since inception.
  • The fund's asset allocation comprises around 72.69% in equities, 23.75% in debts, and 3.57% in cash & cash equivalents.
  • You can start investing in Baroda BNP Paribas Retirement Fund Regular Growth with a SIP of ₹1000 or a Lumpsum investment of ₹1000.

Performance against Category Average

In this section, we compare the returns of the scheme with the category average over various periods. Periods for which the fund has outperformed its category average are marked in green, otherwise red.

Since Inception

+9.41%

(Cat Avg.)

Portfolio Summaryas of 31st July 2024

Equity218.88 Cr72.69%
Debt71.51 Cr23.75%
Others10.74 Cr3.57%

Top Holdings

All Holdings

Equity

Debt & Others

NameType sortAmount sortHoldings sort
7.34% Govt Stock 2064Bond - Gov't/Treasury36.91 Cr12.26%
HDFC Bank LtdEquity16.16 Cr5.37%
Infosys LtdEquity14.95 Cr4.96%
ICICI Bank LtdEquity11.78 Cr3.91%
Reliance Industries LtdEquity10.84 Cr3.60%
7.18% Govt Stock 2033Bond - Gov't/Treasury10.14 Cr3.37%
Small Industries Development Bank Of IndiaBond - Corporate Bond10.08 Cr3.35%
Jamnagar Utilities And Power Private LimitedBond - Corporate Bond10.05 Cr3.34%
360 One Wam Ltd Ordinary SharesEquity7.51 Cr2.49%
Axis Bank LtdEquity7 Cr2.32%
Bharti Airtel LtdEquity6.86 Cr2.28%
Dabur India LtdEquity6.36 Cr2.11%
ITC LtdEquity6.19 Cr2.06%
Clearing Corporation Of India LtdCash - Repurchase Agreement5.83 Cr1.93%
Mahindra & Mahindra LtdEquity5.82 Cr1.93%
Ashok Leyland LtdEquity5.78 Cr1.92%
Hindustan Unilever LtdEquity5.41 Cr1.80%
Bank of BarodaEquity4.95 Cr1.64%
Net Receivables / (Payables)Cash4.91 Cr1.63%
Divi's Laboratories LtdEquity4.78 Cr1.59%
Larsen & Toubro LtdEquity4.58 Cr1.52%
Jyoti CNC Automation LtdEquity4.56 Cr1.52%
Piramal Capital & Housing Finance LimitedBond - Corporate Bond4.33 Cr1.44%
Mrs Bectors Food Specialities Ltd Ordinary SharesEquity4.07 Cr1.35%
PNB Housing Finance LtdEquity4.03 Cr1.34%
State Bank of IndiaEquity3.93 Cr1.30%
Havells India LtdEquity3.88 Cr1.29%
Max Financial Services LtdEquity3.78 Cr1.26%
NTPC LtdEquity3.74 Cr1.24%
Power Finance Corp LtdEquity3.62 Cr1.20%
Mphasis LtdEquity3.56 Cr1.18%
3M India LtdEquity3.54 Cr1.17%
Power Grid Corp Of India LtdEquity3.48 Cr1.16%
Cipla LtdEquity3.4 Cr1.13%
Adani Ports & Special Economic Zone LtdEquity3.3 Cr1.09%
PB Fintech LtdEquity3.27 Cr1.09%
Hindalco Industries LtdEquity3.21 Cr1.07%
Trent LtdEquity3.15 Cr1.05%
Max Healthcare Institute Ltd Ordinary SharesEquity3.14 Cr1.04%
KEI Industries LtdEquity3.03 Cr1.01%
Linde India LtdEquity2.94 Cr0.98%
UNO Minda LtdEquity2.91 Cr0.97%
Info Edge (India) LtdEquity2.81 Cr0.93%
Hindustan Aeronautics Ltd Ordinary SharesEquity2.71 Cr0.90%
TVS Motor Co LtdEquity2.53 Cr0.84%
Vodafone Idea LtdEquity2.44 Cr0.81%
GE T&D India LtdEquity2.38 Cr0.79%
Tech Mahindra LtdEquity2.33 Cr0.77%
Zomato LtdEquity2.29 Cr0.76%
Navin Fluorine International LtdEquity2.28 Cr0.76%
Godrej Consumer Products LtdEquity2.16 Cr0.72%
BSE LtdEquity2.1 Cr0.70%
Hitachi Energy India Ltd Ordinary SharesEquity2.09 Cr0.69%
Westlife Foodworld LtdEquity1.97 Cr0.66%
Tata Technologies LtdEquity1.3 Cr0.43%

Allocation By Market Cap (Equity)

Large Cap Stocks

49.61%

Mid Cap Stocks

12.79%

Small Cap Stocks

8.77%

Allocation By Credit Quality (Debt)

AAA

AA

Other Allocation

Equity Sector

Debt & Others

SectorAmount sortHoldings sort
Financial Services68.11 Cr22.62%
Industrials33.76 Cr11.21%
Technology24.22 Cr8.04%
Consumer Defensive24.19 Cr8.03%
Consumer Cyclical18.68 Cr6.20%
Communication Services12.11 Cr4.02%
Healthcare11.31 Cr3.76%
Energy10.84 Cr3.60%
Basic Materials8.43 Cr2.80%
Utilities7.23 Cr2.40%

Risk & Performance Ratios

Standard Deviation

This fund

--

Cat. avg.

--

Lower the better

Sharpe Ratio

This fund

--

Cat. avg.

--

Higher the better

Sortino Ratio

This fund

--

Cat. avg.

--

Higher the better

Fund Managers

PP

Prashant Pimple

Since July 2024

VP

Vikram Pamnani

Since July 2024

Pratish Krishnan

Pratish Krishnan

Since May 2024

MV

Miten Vora

Since May 2024

Additional Scheme Detailsas of 31st July 2024

ISIN
INF251K01TH4
Expense Ratio
2.27%
Exit Load
No Charges
Fund Size
₹301 Cr
Age
31 May 2024
Lumpsum Minimum
₹1,000
Fund Status
Open Ended Investment Company
Benchmark
CRISIL Hybrid 35+65 - Agg TR INR

Investment ObjectiveInvestment Objective

To seek to generate long-term capital growth from an actively managed portfolio primarily of Equity and Equity Related Securities. Scheme shall invest in Indian equities,foreign equities and related instruments and debt securities.

Tax Treatment

Capital Gains Taxation:

  • If units are sold after 1 year from the date of investment: Gains up to INR 1.25 lakh in a financial year are exempt from tax. Any gains exceeding INR 1.25 lakh are taxed at a rate of 12.5%.
  • If units are sold within 1 year from the date of investment: The entire amount of gain is taxed at a rate of 20%.
  • Holding the units: No tax is applicable as long as you continue to hold the units.

Dividend Taxation:

Dividends are added to the investor’s income and taxed according to their respective tax slabs. Additionally, if an investors dividend income exceeds INR 5,000 in a financial year, the fund house deducts a 10% Tax Deducted at Source (TDS) before distributing the dividend.

Note: As per the Income Tax Budget 2024, mutual funds are subject to capital gains taxation, which includes surcharge and cess based on prevailing income tax rules and the investor’s income. Taxation applies only to realised gains, not notional gains. Please consult your tax advisors to determine the implications or consequences of your investments in such securities.

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Fund nameExpense RatioExit LoadFund size
1Y
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Tata Retirement Savings Conservative Fund Regular Growth

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Tata Retirement Savings Progressive Fund Regular Growth

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Axis Retirement Savings Fund - Aggressive Plan Regular Growth

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Axis Retirement Savings Fund - Conservative Plan Direct Growth

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Axis Retirement Savings Fund - Aggressive Plan Direct Growth

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Axis Retirement Savings Fund - Dynamic Plan Regular Growth

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Axis Retirement Savings Fund - Dynamic Plan Direct Growth

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Axis Retirement Savings Fund - Conservative Plan Regular Growth

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Risk Level

Your principal amount will be at Very High Risk

Very High Risk
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The NAV of Baroda BNP Paribas Retirement Fund Regular Growth, as of 05-Sep-2024, is ₹10.93.
The fund's allocation of assets is distributed as 72.69% in equities, 23.75% in bonds, and 3.57% in cash and cash equivalents.
The fund managers responsible for Baroda BNP Paribas Retirement Fund Regular Growth are:-
  1. Prashant Pimple
  2. Vikram Pamnani
  3. Pratish Krishnan
  4. Miten Vora