Asset Allocation for Baroda Bnp Paribas Credit Risk Fund (scheme Has One Segregated Portfolio) Regular Growth Fund Growth
Top 10 Holdings of Baroda Bnp Paribas Credit Risk Fund (scheme Has One Segregated Portfolio) Regular Growth
66.66 % of total assets
Detailed Portfolio of Baroda Bnp Paribas Credit Risk Fund (scheme Has One Segregated Portfolio) Regular Growth
Portfolio Date -30 Apr 2025
Debt Holdings -23
Other Holdings -6
-
Equity Holdings
-
Debt Holdings
-
Other Holdings
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
8.06% | 14.012 Cr | ||
7.87% | 13.685 Cr | ||
7.56% | 13.135 Cr | ||
7.54% | 13.113 Cr | ||
7.51% | 13.047 Cr | ||
5.86% | 10.186 Cr | ||
5.82% | 10.120 Cr | ||
5.77% | 10.023 Cr | ||
5.76% | 10.003 Cr | ||
4.91% | 8.539 Cr | ||
4.34% | 7.540 Cr | ||
4.06% | 7.053 Cr | ||
3.05% | 5.304 Cr | ||
2.91% | 5.066 Cr | ||
2.37% | 4.126 Cr | ||
2.34% | 4.063 Cr | ||
1.53% | 2.666 Cr | ||
1.22% | 2.121 Cr | ||
1.16% | 2.013 Cr | ||
0.89% | 1.538 Cr | ||
0.85% | 1.479 Cr | - | |
0.59% | 1.030 Cr | ||
0.59% | 1.027 Cr |
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
2.77% | 4.815 Cr | - | |
1.80% | 3.126 Cr | - | |
1.43% | 2.482 Cr | - | |
0.74% | 1.284 Cr | - | |
0.36% | 0.619 Cr | ||
0.35% | 0.603 Cr |