Funds
Every scheme with a disclosed portfolio: its NAV, returns, size and cost, and every measure we derive from the disclosures — each one something you can order the list by, and each one shown in its own units when you do.
304 funds
ordered by size · names starting with B · showing 201–250
| Fund | Category | NAV | 1 yr | 3 yrs p.a. | Assets | Expense, Direct | How often it beat its category |
|---|---|---|---|---|---|---|---|
| BNP Paribas Dynamic Equity Fundno recent NAV UNKNOWN | Uncategorised | ₹14.01 13 Mar 2022 | 7.6% | — | ₹380 Cr | — | not measured |
| BNP PARIBAS SHORT TERM FUND GROWTH OPTIONno recent NAV UNKNOWN | Uncategorised | ₹25.48 13 Mar 2022 | 4.6% | 6.6% | ₹193 Cr | — | not measured |
| BNP PARIBAS LOW DURATION FUND GROWTH OPTIONno recent NAV UNKNOWN | Uncategorised | ₹32.80 13 Mar 2022 | 3.7% | 5.6% | ₹187 Cr | — | not measured |
| BNP PARIBAS Short Term Fundno recent NAV UNKNOWN | Uncategorised | ₹26.98 13 Mar 2022 | 5.3% | 7.4% | ₹177 Cr | — | not measured |
| Baroda ELSS 96 Plan Ano recent NAV Baroda BNP Paribas Asset Management India Private Limited | Uncategorised | ₹68.66 13 Mar 2022 | 21.8% | 17.7% | ₹162 Cr | — | not measured |
| BNP PARIBAS LOW DURATION Fundno recent NAV UNKNOWN | Uncategorised | ₹35.05 13 Mar 2022 | 4.5% | 6.5% | ₹128 Cr | — | not measured |
| BNP Paribas Flexi Debt Fund Growth Optionno recent NAV UNKNOWN | Uncategorised | ₹36.84 13 Mar 2022 | 3.7% | 6.0% | ₹112 Cr | — | not measured |
| BANDHAN CRISIL IBX GILT APRIL 2026 INDEX FUNDno recent NAV Bandhan AMC Limited · Gautam Kaul, since Sep 2025 | Index Funds | ₹12.77 30 Apr 2026 | 5.8% | 6.8% | ₹108 Cr | 0.15% Regular 0.36% | beat peers in 0% of 3-yr windows7 windows — thin record |
| Baroda Pioneer Fixed Maturity Plan- Series Ano recent NAV Baroda BNP Paribas Asset Management India Private Limited | Uncategorised | — | — | — | ₹107 Cr | — | not measured |
| Baroda Mid-cap Fundno recent NAV Baroda BNP Paribas Asset Management India Private Limited | Uncategorised | ₹17.84 13 Mar 2022 | 31.6% | 25.4% | ₹87 Cr | — | not measured |
| BNP PARIBAS SUBSTANTIAL EQUITY HYBRID FUNDno recent NAV UNKNOWN | Uncategorised | ₹19.06 13 Mar 2022 | 12.6% | 18.7% | ₹85 Cr | — | not measured |
| Baroda Pioneer Equity Trigger Fund-Series Ino recent NAV Baroda BNP Paribas Asset Management India Private Limited | Uncategorised | ₹15.08 28 Dec 2017 | 36.6% | 14.4% | ₹84 Cr | — | not measured |
| Baroda Pioneer Fixed Maturity Plan Series Jno recent NAV Baroda BNP Paribas Asset Management India Private Limited | Uncategorised | ₹12.83 28 Dec 2016 | 7.5% | — | ₹75 Cr | — | not measured |
| BOI AXA Capital Protection Oriented Fund Series 3 Regular Plan Growthno recent NAV UNKNOWN | Uncategorised | ₹11.39 29 Jun 2018 | 7.9% | 4.6% | ₹69 Cr | — | not measured |
| BARODA ELSS 96no recent NAV Baroda BNP Paribas Asset Management India Private Limited | Uncategorised | — | 15.6% | 14.3% | ₹52 Cr | — | not measured |
| Baroda Large cap Fundno recent NAV Baroda BNP Paribas Asset Management India Private Limited | Uncategorised | ₹21.96 13 Mar 2022 | 11.2% | 15.6% | ₹51 Cr | — | not measured |
| BOI AXA Capital Protection Oriented Fund Series 5 Regular Plan Growthno recent NAV UNKNOWN | Uncategorised | ₹12.32 27 Dec 2018 | 6.3% | 8.1% | ₹49 Cr | — | not measured |
| BNP Paribas Overnight Fundno recent NAV UNKNOWN | Uncategorised | ₹1,116.76 13 Mar 2022 | 3.3% | — | ₹41 Cr | — | not measured |
| Bandhan Fixed Maturity Plan (FMP) - Series 209 (93 Days)no recent NAV Bandhan AMC Limited | Income | ₹10.19 15 May 2025 | — | — | ₹35 Cr | 0.05% Regular 0.16% | not measured |
| BARODA CONSERVATIVE HYBRID FUNDno recent NAV Baroda BNP Paribas Asset Management India Private Limited | Uncategorised | ₹32.68 13 Mar 2022 | 4.9% | 10.3% | ₹33 Cr | — | not measured |
| Baroda Treasury Advantage Fundno recent NAV Baroda BNP Paribas Asset Management India Private Limited | Uncategorised | ₹1,644.47 13 Mar 2022 | 4.0% | −9.0% | ₹28 Cr | — | not measured |
| Baroda Pioneer Fixed Maturity Plan Series Eno recent NAV Baroda BNP Paribas Asset Management India Private Limited | Uncategorised | ₹13.11 6 Sep 2016 | 7.7% | — | ₹22 Cr | — | not measured |
| BARODA BNP PARIBAS Medium Duration Fundno recent NAV Baroda BNP Paribas Asset Management India Private Limited | Uncategorised | ₹18.94 10 Sep 2024 | 7.6% | — | ₹22 Cr | — | not measured |
| BNP Paribas Dual Advantage Fund - Series I Growth Optionno recent NAV UNKNOWN | Uncategorised | ₹12.53 7 Nov 2016 | 5.3% | — | ₹21 Cr | — | not measured |
| BNP Paribas Medium Term Fundno recent NAV UNKNOWN | Uncategorised | ₹16.22 13 Mar 2022 | 4.4% | 2.9% | ₹21 Cr | — | not measured |
| Baroda Dynamic Bond Fundno recent NAV Baroda BNP Paribas Asset Management India Private Limited | Uncategorised | ₹19.93 13 Mar 2022 | 4.0% | 3.4% | ₹19 Cr | — | not measured |
| BOI AXA Capital Protection Oriented Fund Series 4 Regular Growthno recent NAV UNKNOWN | Uncategorised | ₹11.33 23 Jul 2018 | 3.3% | 4.5% | ₹17 Cr | — | not measured |
| BNP PARIBAS CORPORATE BOND FUND GROWTH OPTIONno recent NAV UNKNOWN | Uncategorised | ₹22.26 13 Mar 2022 | 3.3% | 3.8% | ₹16 Cr | — | not measured |
| Baroda BNP Paribas Floater Fundno recent NAV Baroda BNP Paribas Asset Management India Private Limited | Uncategorised | ₹11.24 10 Sep 2024 | 8.7% | — | ₹15 Cr | — | not measured |
| Baroda Pioneer Fixed Maturity Plan Series Lno recent NAV Baroda BNP Paribas Asset Management India Private Limited | Uncategorised | ₹10.98 2 Mar 2015 | — | — | ₹15 Cr | — | not measured |
| BNP PARIBAS ARBITRAGE FUND REGULAR PLAN MONTHLY DIVIDENDno recent NAV UNKNOWN | Uncategorised | — | −1.1% | 0.2% | ₹14 Cr | — | not measured |
| Baroda Pioneer Fixed Maturity Plan Series Kno recent NAV Baroda BNP Paribas Asset Management India Private Limited | Uncategorised | ₹10.98 25 Feb 2015 | — | — | ₹14 Cr | — | not measured |
| BNP PARIBAS Corporate Bond Fundno recent NAV UNKNOWN | Uncategorised | ₹23.39 13 Mar 2022 | 3.9% | 4.4% | ₹11 Cr | — | not measured |
| Baroda BNP Paribas Fixed Maturity Plan- Series Pno recent NAV Baroda BNP Paribas Asset Management India Private Limited | Uncategorised | ₹12.65 19 Apr 2022 | 3.9% | 7.5% | ₹8 Cr | — | not measured |
| Baroda Pioneer Fixed Maturity Plan Series Mno recent NAV Baroda BNP Paribas Asset Management India Private Limited | Uncategorised | ₹12.87 10 Apr 2017 | 7.6% | — | ₹6 Cr | — | not measured |
| BNP Paribas Government Securities Fundno recent NAV UNKNOWN | Uncategorised | ₹15.57 14 Feb 2018 | 3.6% | 8.7% | ₹6 Cr | — | not measured |
| Baroda BNP Paribas Banking and PSU Bond Fundno recent NAV Baroda BNP Paribas Asset Management India Private Limited | Uncategorised | ₹13.19 16 Oct 2025 | 8.3% | 7.9% | ₹4 Cr | — | not measured |
| BNP PARIBAS ARBITRAGE FUND DIRECT PLAN MONTHLY DIVIDENDno recent NAV UNKNOWN | Uncategorised | — | −0.3% | 0.8% | ₹4 Cr | — | not measured |
| Baroda ELSS 96 Plan Bno recent NAV Baroda BNP Paribas Asset Management India Private Limited | Uncategorised | ₹75.31 13 Mar 2022 | 22.8% | 18.6% | ₹4 Cr | — | not measured |
| Baroda Pioneer Hybrid Fund- Series 1no recent NAV Baroda BNP Paribas Asset Management India Private Limited | Uncategorised | ₹12.02 10 Apr 2018 | 12.3% | 6.2% | ₹3 Cr | — | not measured |
| BNP PARIBAS Flexi Debt Fundno recent NAV UNKNOWN | Uncategorised | ₹39.73 13 Mar 2022 | 5.0% | 7.1% | ₹3 Cr | — | not measured |
| BOI AXA Capital Protection Oriented Fund- Series 1 Regular Growthno recent NAV UNKNOWN | Uncategorised | ₹13.00 9 Jan 2017 | 8.7% | — | ₹3 Cr | — | not measured |
| BNP PARIBAS LIQUID FUND SPECIAL UNCLAIMED DIV 36Ano recent NAV UNKNOWN | Uncategorised | ₹1,267.49 13 Mar 2022 | 0.0% | 1.9% | ₹3 Cr | — | not measured |
| Baroda Pioneer Fixed Maturity Plan Series Nno recent NAV Baroda BNP Paribas Asset Management India Private Limited | Uncategorised | ₹12.67 10 Apr 2017 | 7.3% | — | ₹3 Cr | — | not measured |
| Baroda Pioneer Fixed Maturity Plan - Series Bno recent NAV Baroda BNP Paribas Asset Management India Private Limited | Uncategorised | — | — | — | ₹3 Cr | — | not measured |
| BOI AXA Capital Protection Oriented Fund Series 5 Direct Plan Growthno recent NAV UNKNOWN | Uncategorised | ₹12.44 27 Dec 2018 | 6.7% | 8.4% | ₹2 Cr | — | not measured |
| BNP Paribas Dual Advantage Fund - Series I Dividend Optionno recent NAV UNKNOWN | Uncategorised | — | −15.5% | — | ₹2 Cr | — | not measured |
| BNP PARIBAS LIQUID FUND SPECIAL UNCLAIMED RED 36Ano recent NAV UNKNOWN | Uncategorised | ₹1,266.03 13 Mar 2022 | 0.0% | 1.9% | ₹2 Cr | — | not measured |
| BOI AXA Capital Protection Oriented Fund Series 2 Regular Plan Growthno recent NAV UNKNOWN | Uncategorised | ₹11.85 4 Jan 2018 | 15.6% | 6.2% | ₹2 Cr | — | not measured |
| BNP PARIBAS SHORT TERM FUND MONTHLY DIVIDEND OPTIONno recent NAV UNKNOWN | Uncategorised | — | −2.2% | 0.5% | ₹2 Cr | — | not measured |
NAV is the growth class, Direct plan where one exists; returns are CAGR to the build's NAV date. How often it beat its category is the share of rolling three-year stretches in which the fund beat its category median; a full record needs 36 windows, and a thinner one is greyed. Funds without that measurement sort last, never first; a fund with no NAV in the last 45 days — wound up, merged or dormant — sorts last of all and is marked. On a phone the table keeps three columns — the fund, its size and the measure you ordered by; category, NAV, both returns and the expense ratio are dropped rather than pushed off the right-hand edge, because an ordering you cannot see is worth nothing.