Urban Money

Baroda BNP Paribas Credit Risk Fund - Regular Plan - Growth

18.2049
NAV (Nov 29,2022)

Fund Overview

1.60%

Expense ratio

UM_Share of funds asset utilised towards operating expenses and other administrative charges

Share of funds asset utilised towards operating expenses and other administrative charges

0%

Exit Load

UM_Percentage Net Asset Value (NAV) that an investor possess in their mutual fund portfolio

Percentage Net Asset Value (NAV) that an investor possess in their mutual fund portfolio

No Lock-in

Lock-in

UM_Lock-in period refers to the tenure for which the assets in a mutual fund cannot be redeemed or sold.

Lock-in period refers to the tenure for which the assets in a mutual fund cannot be redeemed or sold.

202.49 Cr

AUM (Fund Size)

UM_The total value of investment in an investors mutual fund portfolio

The total value of investment in an investors mutual fund portfolio

Index

UM_ A group of securities or other financial instruments that depicts the performance of a particular industry, asset, market sector, strategy, etc

A group of securities or other financial instruments that depicts the performance of a particular industry, asset, market sector, strategy, etc

SIP ₹5000.00

Min. Investment

UM_The smallest amount or quantity of share that an investor can purchase while investing in a particular mutual fund.

The smallest amount or quantity of share that an investor can purchase while investing in a particular mutual fund.

Scheme Riskometer Moderate

Risk Ratios

  • P/E Ratio

    UM_Price-to-earnings ratio is the ratio used for the valuation of a company that determines the current share price with relation to the earning per share.

    Price-to-earnings ratio is the ratio used for the valuation of a company that determines the current share price with relation to the earning per share.

    0
  • P/B Ratio

    UM_The ratio used to determine the market valuation of a company with respect to the book value.

    The ratio used to determine the market valuation of a company with respect to the book value.

    0
  • Alpha

    UM_The additional returns received with respect to the average market benchmark for a certain amount of risk undertaken by the mutual fund scheme.

    The additional returns received with respect to the average market benchmark for a certain amount of risk undertaken by the mutual fund scheme.

    0
  • Beta

    UM_Is an indicator to the investor of how risky the fund can be as compared to the market.

    Is an indicator to the investor of how risky the fund can be as compared to the market.

    0
  • Sharpe

    UM_The Sharpe ratio is an indicator of the potential returns from an investment after considering all the related risks.

    The Sharpe ratio is an indicator of the potential returns from an investment after considering all the related risks.

    0.02
  • Sortino

    UM_A variation of the Sharpe ratio that aids in the differentiation of potentially harmful volatility from total risk by utilising the asset’s standard deviation.

    A variation of the Sharpe ratio that aids in the differentiation of potentially harmful volatility from total risk by utilising the asset’s standard deviation.

    0.03

Fund Portfolio Allocation

  • Holdings
  • Sectors

Scheme Name

Assets

  • TREPS Nov13.29%
  • Government of India Jun10.83%
  • Government of India Sep9.87%
  • Tata Power Company Ltd Nov8.40%
  • Godrej Properties Ltd Jul6.14%
  • Motilal Oswal Home Finance Ltd Aug6.03%
  • Shriram City Union Finance Ltd Dec4.93%
  • Torrent Power Ltd Jun4.93%
  • Godrej Industries Ltd Apr4.84%
  • Embassy Office Parks Reit Oct4.79%
  • Piramal Capital & Housing Finance Ltd Sep4.01%
  • Piramal Capital & Housing Finance Ltd Jul3.95%
  • JSW Steel Ltd Oct3.94%
  • Manappuram Finance Ltd Nov3.46%
  • Manappuram Finance Ltd Dec3.42%
  • Net Receivable Payable2.50%
  • Aditya Birla Fashion and Retail Ltd Sep2.37%
  • Bajaj Finance Ltd Aug0.97%
  • State Bank of India Sep Tier II Bond under Basel III0.71%
  • Steel Authority of India Ltd Oct0.45%
  • Edelweiss Housing Finance Ltd Jul0.16%

Holdings Analysis

Calculate Your Investment Returns

  • 500
  • 1 Lac
Years
  • 1
  • 30
%
  • 1
  • 30

Total investment

+

Profit

Get your latest Credit Score, FREE