We are upgrading our transaction portal and will be back soon.
Stay updated with latest Addenda and Notices. Select the year to browse through the documents.
Notice cum Addendum to the Scheme Information Document (SID) for the Schemes of BNP Paribas Mutual Fund
Download
Appointment of Key Personnel & Change in OPAT
Download
Effective Date for Completion of Transaction
Download
Disclosure of change in Risk-o-meter for the Scheme of BNP Paribas Mutual Fund
Download
Declaration of Income Distribution cum Capital Withdrawal (IDCW) under the designated Scheme of BNP Paribas Mutual Fund
Download
Change in address of Official Points of Acceptance of Transactions (OPAT)
Download
**basis portfolio of the Scheme as on July 31, 2024
*Investors should consult their financial advisers if in doubt about whether the product is suitable for them
**Basis constituents of the scheme as on July 31, 2024
*Investors should consult their financial advisers if in doubt about whether the product is suitable for them.
*The PRC matrix denotes the maximum risk that the respective Scheme can take i.e. maximum interest rate risk (measured by MD of the Scheme) and maximum credit risk (measured by CRV of the Scheme)
Before going in deep, Let us understand you little bit better. And we will provide proper guidince accordingly.
Yes, Let's start from basic No, I want to continueYou will need the following:
Start investing with your I-PIN and password
Start investing without
an I-PIN
You will need the following:
You have chosen
Select Option
Choose update frequency
Disclaimer:
1. NAV of the selected fund will be sent on the next working day. For example NAV of Monday will be sent on Tuesday.
2. At a time, you are allowed to subscribe to at most 3 schemes for daily/weekly/monthly updates.
3. For daily alerts, the NAV of the selected scheme will be sent the next morning.
4. For weekly alerts, the NAV of the selected option will be sent every Monday morning.
5. For monthly alerts, the NAV of the last applicable date of the month will be sent on the 1st of the subsequent month.
6. The weekend NAVs of Liquid schemes will be sent on the subsequent Monday.
7. Receipt of the SMS alert is subject to validity of the mobile number and availability of network. Baroda BNP Paribas is not liable in case of either of these two being insufficient.