Baroda BNP Paribas Aggressive Hybrid Fund Regular - Growth

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Hybrid, Aggressive Hybrid, Principal at very high risk

1 Year Return 8.55% at 16 Feb 2026 04:17 PM

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Fund Details

NAV 28.0281

Sub-Type Aggressive Hybrid

Rating 3

Min. SIP Amount ₹250.0

Fund Age(Year) 8.86

Fund Size(in Crores) 1242.6

Fund Performance

1 Month -0.02%

3 Month -0.86%

6 Month 1.62%

1 Year 8.55%

3 Year 14.21%

5 Year 11.64%

Know This Fund

As on 16 Feb 2026

Investment strategy that balances risk & reward by dividing the investment portfolio among different types of asset classes.

Equity (70.06%) Market Cap Small Cap 7.17 Mid Cap 17.51 Large Cap 45.38 Top Sectors Financial 20.73 Automobile 7.38 Energy 7.03 Technology 6.33 Capital Goods 5.13 Construction 4.53 Consumer Staples 4.22 Services 4.22 Healthcare 2.32 Communication 2.14 Materials 1.49 Consumer Discretionary 1.42 Chemicals 1.22 Metals & Mining 1.05 Insurance 0.85 Top Holding Hindustan Zinc 1.05 Hindustan Petroleum Corporation 0.62 Leela Palaces Hotels 0.73 Bharat Electronics 1.24 Tata Capital 0.69 GMR Airports 0.26 Larsen & Toubro 4.27 JSW Cement 0.5 JTEKT India 0.89 Pfizer 0.41 Tata Consultancy 1.81 Titan Company 0.66 Bajaj Finance 1.21 Yes Bank 1.12 Tata Motors 1.06 Indusind Bank 0.58 Reliance Industries 4.55 Swiggy 0.56 Infosys 2.26 Orkla India 0.51 Hitachi Energy India 2.84 Oil India 1.11 Escorts Kubota 1.08 MCX 0.8 Sagility 0.42 Pine Labs 0.83 Tech Mahindra 1.26 Bosch 1.38 State Bank of India 1.56 Persistent Systems 0.87 TVS Motor Company 1.33 Hero Motocorp 0.84 Dr. Reddy's Laboratories 0.75 Kotak Mahindra Bank 2.07 Bharti Airtel 2.14 NLC India 0.75 ITC 1.4 Eternal 0.99 Hyundai Motor 0.8 The Federal Bank 0.94 Sun Pharmaceutical Industries 1.16 HDFC Bank 5.92 Linde India 1.22 Gillette India 0.96 LG Electronics India 0.76 PB Fintech 0.72 Bharat Heavy Electricals 1.05 Amagi Media Labs 0.13 360 One Wam 0.9 Varun Beverages 0.58 HDFC Life Insurance 0.85 The India Cements 0.99 Nestle India 0.77 ICICI Bank 4.91

Debt & Others (29.939999999999998%) Sector Allocation Net Payables -2.43 Bonds/NCDs 1.87 Treasury Bills 0.24 Debt Credit Ratings AAA 10.78 SOV 9.62 AA- 2.67 Cash & Call Money 2.63 AA 2.17 Debt Category Reliance Industries 0.42 Muthoot Finance 0.82 Sansar Trust 0.71 LIC Housing Fin. 1.63

Comparison with same funds

Equity, Flexi Cap funds Aditya Birla Sun Life Aggressive Hybrid Omni FoF Regular-Growth Ret 1M -0.12% Ret 1Y 11.1% Ret 3Y 14.13% Ret 5Y 11.31%

Equity, Flexi Cap funds Aditya Birla Sun Life Aggressive Hybrid Omni FoF Regular-IDCW Quarterly Ret 1M -0.12% Ret 1Y 11.1% Ret 3Y 14.13% Ret 5Y 11.31%

Equity, Flexi Cap funds Aditya Birla Sun Life Aggressive Hybrid Omni FoF Regular-IDCW Quarterly Payout Ret 1M -0.12% Ret 1Y 11.1% Ret 3Y 14.13% Ret 5Y 11.31%

Equity, Flexi Cap funds Aditya Birla Sun Life Equity Hybrid '95 Fund Regular-Growth Ret 1M -0.17% Ret 1Y 10.9% Ret 3Y 14.57% Ret 5Y 11.16%

Equity, Flexi Cap funds Aditya Birla Sun Life Equity Hybrid '95 Fund Regular-IDCW Ret 1M -0.17% Ret 1Y 10.9% Ret 3Y 14.57% Ret 5Y 11.16%

Equity, Flexi Cap funds Aditya Birla Sun Life Equity Hybrid '95 Fund Regular-IDCW Reinvestment Ret 1M -0.17% Ret 1Y 10.9% Ret 3Y 14.57% Ret 5Y 11.16%

Equity, Flexi Cap funds Aditya Birla Sun Life Retirement Fund - The 40s Plan Regular-Growth Ret 1M -0.19% Ret 1Y 11.15% Ret 3Y 14.07% Ret 5Y 9.16%

Equity, Flexi Cap funds Aditya Birla Sun Life Retirement Fund - The 40s Plan Regular-IDCW Ret 1M -0.19% Ret 1Y 11.15% Ret 3Y 14.07% Ret 5Y 9.16%

Equity, Flexi Cap funds Aditya Birla Sun Life Retirement Fund - The 40s Plan Regular-IDCW Reinvestment Ret 1M -0.19% Ret 1Y 11.15% Ret 3Y 14.07% Ret 5Y 9.16%

Equity, Flexi Cap funds Axis Aggressive Hybrid Fund Regular-Growth Ret 1M -0.14% Ret 1Y 8.71% Ret 3Y 11.82% Ret 5Y 9.04%

Equity, Flexi Cap funds Axis Aggressive Hybrid Fund Regular-IDCW Monthly Payout Ret 1M -0.14% Ret 1Y 8.71% Ret 3Y 11.82% Ret 5Y 9.04%

Charges & Taxes Expense Ratio

Returns are taxed as per your Income Tax Slab.

Expense Ratio (Inclusive of GST): 2.11%

Exit Load 0%

Stamp Duty 0.005%

Fund Management

The various expenses, charges and taxes associated with your Mutual Fund

Vikram Pamnani

Education Mr. Pamnani holds PGDM in Finance.

Experience Prior to joining Baroda BNP Paribas Mutual Fund, he worked with Essel Finance AMC Ltd. as Fund Manager, Canara Robeco AMC Ltd. as Fixed Income Dealer & Deutsche Bank as Process Executive.

Pratish Krishnan

Education Mr. Krishnan has done MMS in Finance

Experience Prior to joining Baroda BNP Paribas Mutual Fund he has worked with Antique Stock Broking as Sr Analyst- IT, Telecom & Media, DSP Merrill Lynch as Vice President- Research, SBI Capital Markets as Sr. research Analyst, Cholamandalam DBS Finance LTD as Research Analyst.

Gurvinder Singh Wasan

Education Mr. Wasan is a Chartered Accountant, CFA and Master of Commerce from Mumbai University.

Experience Prior to joining Baroda BNP Paribas Mutual Fund, he has worked with JM Mutual, Principal Mutual Fund, Crisil Ltd. and ICICI Bank Ltd.

Jitendra Sriram

Education Mr. Sriram is a B.E (Electrical) and holds a post graduate diploma in Business Management.

Experience Prior to joining Baroda BNP Paribas Mutual Fund, he has worked with HSBC AMC, Deutsche Equities Pvt. Ltd., HSBC Securities, Capital Markets Pvt. Ltd. and ITC Classic Share & Stock Broking.

Mayank Prakash

Education Mr. Prakash is a Chartered Accountant and MBA (Finance).

Experience Prior to joining Baroda BNP Paribas Mutual Fund he has worked with Kotak AMC.

Miten Vora

Education Mr. Vora has done B.Com, PGDM (Finance) and ICFAI-Hyderabad

Experience Prior to joining Baroda BNP Paribas Mutual Fund, he was associated with Canara HSBC Oriental Life Insurance, BNP Paribas AMC, IDBI AMC and Antique Stock Broking Ltd.

Prashant R Pimple

Education Mr. Pimple is a MBA (Finance) and CTM.

Experience Prior to joining Baroda BNP Paribas Mutual Fund, he has worked with JM Mutual Fund, Nippon India Mutual Fund, Fidelity Mutual Fund, ICICI Bank, Bank of Bahrain & Kuwait, Saraswat Co-op Bank Ltd. and SIDBI.

Riskometer

Mutual Fund Investments are subject to market risk. Read all scheme related documents carefully.

Principal at very high risk

AMC and Fund details

Rank (total sets) 24

Date of Incorporation 2017-04-07

Total AUM 2026-01-31

The Scheme Seeks to generate returns from a portfolio of pure debt oriented funds accessed through the diverse investment styles of underlying schemes selected in accordance with the BSLAMC process.

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