Baroda BNP Paribas Value Fund
(An open ended equity scheme following a value investment strategy)
Baroda BNP Paribas Value Fund
(An open ended equity scheme following a value investment strategy)
March 2026

March 2026


Investment Objective

The investment objective of the scheme is to generate long-term capital appreciation from a diversified portfolio of predominantly equity and equity related instruments by following a value investment strategy. However, there can be no assurance that the investment objectives of the Scheme will be realized. The Scheme does not guarantee/indicate any returns.

NAV Details (As on March 31, 2026)
Regular Plan-IDCW : ₹ 11.4022
Regular Plan-Growth Option : ₹ 12.5057
Direct Plan-IDCW : ₹ 11.8314
Direct Plan-Growth Option : ₹ 12.9756
Benchmark Index (AMFI Tier 1)

Nifty 500 TRI

Date of Allotment

June 7, 2023

Fund Manager
Fund Manager Managing fund since Experience
Mr. Jitendra Sriram** 29-Nov-25 27 years
Mr. Himanshu Singh 21-Oct-24 10 years

**Mr. Jitendra Sriram was appointed as Fund Manager w.e.f November 29, 2025 in place of Mr. Shiv Chanani

Load Structure

Exit Load: • If units of the Scheme are redeemed or switched out up to 10% of the units (the limit) within 1 year from the date of allotment - Nil. • If units of the scheme are redeemed or switched out in excess of the limit within 1 year from the date of allotment - 1% of the applicable NAV. • If units of scheme are redeemed or switched out after 1 year from the date of allotment - Nil.
For detailed load structure please refer Scheme Information Document.


Lumpsum Details

Minimum Amount: Lumpsum investment:
₹ 5,000 and in multiples of ₹ 1 thereafter.
Minimum Additional Application Amount:₹ 1,000 and in multiples of ₹ 1 thereafter.


Monthly AAUM## As on March 31, 2026 : ₹ 1,034.38 Crores
AUM## As on March 31, 2026 : ₹ 975.14 Crores

## including inter-scheme Investments, if any, by other schemes of Baroda BNP Paribas Mutual Fund, as may be applicable

EQUITY HOLDINGS % of Net Assets
Banks 18.84%
HDFC Bank Limited 5.41%
ICICI Bank Limited 4.45%
Kotak Mahindra Bank Limited 2.25%
State Bank of India 1.81%
Canara Bank 1.31%
Yes Bank Limited 1.07%
Axis Bank Limited 0.96%
IndusInd Bank Limited 0.83%
Ujjivan Small Finance Bank Limited 0.75%
Pharmaceuticals & Biotechnology 11.26%
Divi's Laboratories Limited 3.02%
Sun Pharmaceutical Industries Limited 2.16%
JB Chemicals & Pharmaceuticals Limited 2.10%
Zydus Lifesciences Limited 1.61%
Alkem Laboratories Limited 1.22%
Sanofi Consumer Healthcare India Limited 1.15%
IT - Software 8.83%
Infosys Limited 2.65%
Tata Consultancy Services Limited 2.18%
Tech Mahindra Limited 2.04%
Birlasoft Limited 1.01%
Wipro Limited 0.95%
Petroleum Products 7.07%
Reliance Industries Limited 7.07%
Electrical Equipment 6.98%
GE Vernova T&D India Limited 4.03%
Bharat Heavy Electricals Limited 2.95%
Power 5.95%
Power Grid Corporation of India Limited 2.10%
NHPC Limited 1.70%
SJVN Limited 1.17%
Tata Power Company Limited 0.98%
Automobiles 5.24%
Hero MotoCorp Limited 2.34%
Eicher Motors Limited 1.64%
Maruti Suzuki India Limited 1.26%
Construction 3.72%
Larsen & Toubro Limited 3.72%
Cement & Cement Products 3.05%
UltraTech Cement Limited 1.69%
The India Cements Limited 1.36%
Diversified FMCG 2.73%
ITC Limited 1.59%
Hindustan Unilever Limited 1.14%
Auto Components 2.71%
Jtekt India Limited 1.52%
Tenneco Clean Air India Limited 1.19%
Diversified Metals 2.66%
Vedanta Limited 2.66%
Non - Ferrous Metals 2.54%
National Aluminium Company Limited 1.71%
Hindustan Zinc Limited 0.83%
Oil 2.19%
Oil India Limited 2.19%
Consumer Durables 2.05%
LG Electronics India Ltd 1.13%
Akzo Nobel India Limited 0.92%
Aerospace & Defense 1.85%
Bharat Electronics Limited 1.85%
Agricultural, Commercial & Construction Vehicles 1.52%
Tata Motors Ltd 1.52%
Insurance 1.31%
HDFC Life Insurance Company Limited 1.31%
Gas 0.86%
Mahanagar Gas Limited 0.86%
LESS THAN 0.75% EXPOSURE 1.90%
FUTURES LONG POSITION 1.10%
Multi Commodity Exchange of India Limited 1.10%
TOTAL EQUITY HOLDING 94.36%
FIXED INCOME HOLDINGS Rating % of Net Assets
Treasury Bill 1.00%
364 Days Tbill (MD 16/04/2026) SOV 0.51%
364 Days Tbill (MD 04/02/2027) SOV 0.49%
Total Fixed Income Holdings 1.00%
TREPS, Cash & Other Net Current Assets 4.64%
GRAND TOTAL 100.00%

Investment in Top 10 scrips constitutes 38.30% of the portfolio


For SIP Performance please click here

For Scheme Performance please click here


Pursuant to distribution under Income Distribution cum Capital Withdrawal (‘IDCW’) option, NAV of the IDCW option of the scheme(s) would fall to the extent of payout and statutory levy (if applicable). The amounts under IDCW options can be distributed out of investors capital (Equalization Reserve), which is part of sale price that represents realized gains. Past performance may or may not be sustained in future. The above stated distribution rate per unit is net distribution rate after deducting applicable taxes. The above distribution rates are on face value of ₹ 10 per unit.

TER - Regular Plan (%) 2.23%
TER - Direct Plan (%) 1.17%
Portfolio Turnover Ratio 0.69

No of Stocks 51
Portfolio RoE (%) 17.50
EPS Growth (%) 15.87

This product is suitable for investors who are seeking*:

➤ Capital appreciation over long term.
➤ Investment predominantly in a portfolio of equity and equity related securities by following a value investment strategy

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

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 (Nifty 500 TRI): basis it’s constituents; As on March 31, 2026

For complete portfolio, kindly refer the website https://www.barodabnpparibasmf.in/
* refer Glossary page

Mutual Fund investments are subject to market risks, read all scheme related documents carefully.