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We are a part of Baroda BNP Paribas Asset Management India and have been created especially to meet the investment needs of those seeking wealth creation opportunities through customised and focused portfolios.
Baroda BNP Paribas Asset Management India is the dedicated asset management business line of Baroda BNP Paribas and backed by the financial strength of one of the best rated banks in the world.
Baroda BNP Paribas Asset Management India manages and advises assets of over EUR 571* bn across 30 countries with significant presence in Europe, Asia and the Americas. It is Europe's 6th largest asset manager and among the leading asset managers in the world offering one of the widest range of investment solutions in the industry.
Around 700+ investment professionals work across the network of some 60 investment centres, each of which is a specialist in a particular asset class or type of product.
The well-structured and highly transparent investment process that we strongly believe is the key to successful investments.
Know more**Basis portfolio of the Scheme as on Oct 31, 2022
*Investors should consult their financial advisers if in doubt about whether the product is suitable for them
**Basis constituents of the scheme as on Oct 31, 2022
*The PRC matrix denotes the maximum risk that the respective Scheme can take i.e. maximum interest rate risk (measured by MD of the Scheme) and maximum credit risk (measured by CRV of the Scheme)
Before going in deep, Let us understand you little bit better. And we will provide proper guidince accordingly.
Yes, Let's start from basic No, I want to continueYou will need the following:
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an I-PIN
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Disclaimer:
1. NAV of the selected fund will be sent on the next working day. For example NAV of Monday will be sent on Tuesday.
2. At a time, you are allowed to subscribe to at most 3 schemes for daily/weekly/monthly updates.
3. For daily alerts, the NAV of the selected scheme will be sent the next morning.
4. For weekly alerts, the NAV of the selected option will be sent every Monday morning.
5. For monthly alerts, the NAV of the last applicable date of the month will be sent on the 1st of the subsequent month.
6. The weekend NAVs of Liquid schemes will be sent on the subsequent Monday.
7. Receipt of the SMS alert is subject to validity of the mobile number and availability of network. Baroda BNP Paribas is not liable in case of either of these two being insufficient.