| Baroda BNP Paribas
Aqua Fund of Fund |

(An Open Ended Fund of Fund scheme investing in BNP Paribas Funds Aqua (Lux)

August 2026

August 2026


This product is suitable for investors who are seeking*:
• Wealth creation in long term.
• Investments predominantly in units of BNP Paribas Funds Aqua (Lux).


Scheme Riskometer^^
Investors understand that their
principal will be at Very High risk.

Benchmark (Tier 1) Riskometer^
Benchmark riskometer is at Very High risk.

^^Riskometer For Scheme: basis it’s portfolio, ^Riskometer For Benchmark (MSCI World Index (TRI):
basis it’s constituents; as on Aug 31, 2026


Fund Details
Date of allotment :  May 07, 2021
Tier 1 Benchmark :  MSCI World Index (TRI)
NAV as on August 31, 2026:
NAV/Unit Regular Plan
(In Rs.)
Direct Plan
(In Rs.)
IDCW 15.7118 16.6209
Growth 15.7118 16.6209

Monthly AUM
as on Aug 31, 2026 (Rs. in Cr.)
:  65.23
Monthly AAUM
as on Aug 31, 2026 (Rs. in Cr.)
:  64.18

Fund Manager And Experience

Fund Manager Total Experience Managing Since
Ms. Swapna Shelar 14 years 21-Oct-24
Ms. Stuti Singhee 2 years 01-May-26

Minimum Investment

Lumpsum Amount:
Rs.5000 and in multiples of Re.1 thereafter

Systematic Investment Plan (SIP) Amount:
(i) Daily, Weekly, Monthly SIP: Rs. 500/- and in multiples of Re. 1/- thereafter; (ii) Quarterly SIP: Rs. 1500/- and in multiples of Re. 1/- thereafter.


Load Structure

Exit Load: • If units of the Scheme are redeemed or switched out within 12 months from the date of allotment- 1% of the applicable NAV;
• If units of Scheme are redeemed or switched out after 12 months from the date of allotment - Nil.
For detailed load structure please refer Scheme Information Document.

Expense Ratio
Regular Direct
Total Expense Ratio
(Weighted TER)
: 1.58% 0.58%
Base Expense Ratio
(as on August 31, 2026)
: 1.35% 0.48%

*Investors are requested to note that being a Fund of Funds scheme, they will be bearing the recurring expenses of the scheme in addition to the expenses of underlying fund in which the fund of funds scheme makes investment.


Compounded Annualised Returns Scheme Returns % Regular Scheme Returns % Direct Benchmark Returns %
Last 1 year 13.81 14.95 30.59
Last 3 years 13.29 14.45 26.00
Last 5 years 7.64 8.77 17.29
Since Inception 8.86 10.02 17.24


**Scheme Inception Date: 07-May-21. Past performance may or may not be sustained in the future and does not guarantee future returns. Performance data is provided for the Growth Option. Returns do not take into account load and taxes, if any, and different plans may have a different expense structure. Returns for periods exceeding one year are compounded annualised. Scheme performance is calculated based on the NAV as of the last day of the month preceding the date of publication of this factsheet. Where the commencement or end date of the relevant period falls on a non-business day, the NAV of the immediately preceding business day has been considered for the purpose of return calculation. Exit load, if any, has not been considered while computing performance. Click here for the performance of other schemes managed by the Fund Manager(s).

*Investors should consult their financial advisers if in doubt about whether the product is suitable for them.

Company / Issuer % to Net Assets
1. BNP Paribas Funds SICAV - Aqua 97.33%

for Detailed Investment in Securities
Market Risk (Volatility & Price Fluctuations)
Liquidity Risk
Performance will depend upon the performance of the underlying mutual fund scheme
Operational Risk (Risk of Trading or Backoffice or Administration Issues)

for Detailed Investment in Securities
for Allocation of Net Asset by Sectors
for Allocation of Net Asset by Asset Class
for Allocation of Net Assets by region/country

Major Changes w.r.t previous month –

Name of securities added Name of securities deleted/reduced Total Weightage in %
BNP Paribas Funds SICAV - Aqua 1.42%

Change in July 2026 Aug 2026
Regular 1.59% 1.58%
Direct 0.60% 0.58%


Sr. No. Important Weblinks
1 Video Explainer Click here for a video providing simplified explanation of the Fund Factsheet
2 Calculation/Methodology Click here for various mathematical parameters and their respective calculation methodology/formulae
3 Detailed Risk Factors Click here for various risk factors associated with the Scheme.
4Scheme Information Document (SID) Click here/Scan QR code for SID on the website
5 Investor Services Click here for contact details for investor services.
6 Grievance submission and redressal Click here to be directed to the grievance submission page.

Additional Disclosure

Top 10 Holdings (%)
AMERICAN WATER WORKS INC 5.07
LINDE PLC 4.55
XYLEM INC 3.88
KLA CORP 3.82
ECOLAB INC 3.51
VEOLIA ENVIRON. SA 3.45
NOVOZYMES CLASS B B 3.21
IDEX CORP 3.16
CINTAS CORP 3.04
SEVERN TRENT PLC 2.94
No. of Holdings in Portfolio 45.00


Sectoral Composition (%)**
Industrials 59.54
Utilities 16.34
Materials 15.16
Information technology 5.48
Health care 1.31
Forex contracts 0.03
Cash 2.14
Total 100.00

** Data as per Global Industry Classification Standard sector classification

Geographical Composition (%)
United States 61.55
United Kingdom 9.07
Switzerland 5.51
France 3.45
Japan 3.35
Denmark 3.21
Netherlands 2.84
Brazil 2.02
Sweden 1.76
Germany 1.31
Forex contracts 0.03
Other 3.77
Cash 2.14
Total 100.00



Past Performance is not an indicator or guarantee of future results
Mutual Fund investments are subject to market risks, read all scheme related documents carefully.