Baroda BNP Paribas ESG Best-in-class strategy Fund
The scheme seeks to achieve long term capital appreciation by actively managed investments in equity and equity related securities of companies in India, based on Environmental, Social and Governance (ESG) criteria following best-in-class strategy.
Growthvine rating: 1/5 — ranked #150 of 179 in category.
Fund basics
| Category | Equity: Thematic |
|---|
| NAV | ₹10.64 (as of 2026-08-21) |
|---|
| AUM | ₹623 Cr |
|---|
| Expense ratio | 2.05% |
|---|
| Riskometer | Very High |
|---|
| Fund manager | Kushant Arora |
|---|
| Exit load | For units in excess of 10% of the investment, 1% will be charged for redemption within 1 year |
|---|
Performance & risk
| Standard deviation | 0.00% |
|---|
| Max drawdown | -4.83% |
|---|
| Alpha | 0 |
|---|
| Beta | 0 |
|---|
Market cap allocation
| Large cap | 78.7% |
|---|
| Mid cap | 14.7% |
|---|
| Small cap | 6.6% |
|---|
Concentration
| Top 5 holdings | 26.8% |
|---|
| Top 10 holdings | 41.0% |
|---|
| Total holdings | 50 |
|---|
Top holdings
- ICICI Bank Ltd. — 6.8%
- Bharti Airtel Ltd. — 6.1%
- HDFC Bank Ltd. — 5.2%
- Infosys Ltd — 4.9%
- Eternal Limited — 3.7%
- Mahindra & Mahindra Ltd. — 3.2%
- State Bank Of India — 3.0%
- Tech Mahindra Limited — 2.9%
- Torrent Pharmaceuticals Ltd. — 2.7%
- HITACHI ENERGY INDIA LIMITED — 2.6%
Top sectors
- Banking & Financial — 21.2%
- Software & Services — 13.5%
- Automobile — 12.8%
Calendar-year track record
No calendar-year history.