| Baroda Bnp Paribas Liquid Fund Datagrid | ||||||
|---|---|---|---|---|---|---|
| Category | Liquid Fund | |||||
| BMSMONEY | Rank | 21 | ||||
| Rating | ||||||
| Growth Option 12-12-2025 | ||||||
| NAV | ₹3078.9(R) | +0.01% | ₹3119.58(D) | +0.01% | ||
| Returns | 1Y | 3Y | 5Y | 7Y | 10Y | |
| Lumpsum | Regular | 6.47% | 6.92% | 5.74% | 5.67% | 6.16% |
| Direct | 6.61% | 7.05% | 5.86% | 5.78% | 6.27% | |
| Benchmark | ||||||
| SIP (XIRR) | Regular | 6.12% | 6.76% | 6.44% | 5.97% | 5.96% |
| Direct | 6.25% | 6.89% | 6.56% | 6.09% | 6.07% | |
| Ratio | Sharpe Ratio | Sortino Ratio | Sterling Ratio | Jensen's Alpha | Treynor Ratio | |
| 6.39 | 17.3 | 0.69 | 6.0% | 0.18 | ||
| Risk | STD. Dev | VaR 1Y95% | Max DD | Beta | Semi Devi. | |
| 0.18% | 0.0% | 0.0% | 0.06 | 0.14% | ||
| Fund AUM | As on: 30/06/2025 | 11566 Cr | ||||
NAV Date: 12-12-2025
| Scheme Name | NAV | Rupee Change | Percent Change |
|---|---|---|---|
| Baroda BNP Paribas LIQUID FUND - Regular Plan - WEEKLY IDCW OPTION | 1000.57 |
0.1400
|
0.0100%
|
| Baroda BNP Paribas LIQUID FUND - Regular Plan - DAILY IDCW OPTION | 1001.2 |
0.0000
|
0.0000%
|
| Baroda BNP Paribas LIQUID FUND - DIRECT PLAN - DAILY IDCW OPTION | 1002.08 |
0.0000
|
0.0000%
|
| Baroda BNP Paribas LIQUID FUND - DIRECT PLAN - WEEKLY IDCW OPTION | 1220.08 |
0.1800
|
0.0100%
|
| Baroda BNP Paribas LIQUID FUND - Regular Plan - GROWTH OPTION | 3078.9 |
0.4400
|
0.0100%
|
| Baroda BNP Paribas LIQUID FUND - DIRECT PLAN - GROWTH OPTION | 3119.58 |
0.4500
|
0.0100%
|
| Baroda BNP Paribas LIQUID FUND-Defunct Plan- IDCW Option | 3740.06 |
0.5300
|
0.0100%
|
| Baroda BNP Paribas LIQUID FUND- Defunct Plan -Growth Option | 4532.85 |
0.6400
|
0.0100%
|
Review Date: 12-12-2025
Standard deviation measures the fund's return volatility and Semi deviation focuses on downside volatility. Value at Risk (VaR) is a measure of the risk of investments. Maximum Drawdown is the maximum loss from a peak to a trough of a portfolio. Beta measures the volatility of the fund compared to the benchmark. A beta of 1 indicates that the fund will move in line with the benchmark. A beta of more than 1 indicates that the fund will be more volatile than the benchmark and vice versa.
Investors beware: Mutual Fund investments are subject to market risks. Please read the scheme related documents carefully.
Data Source: www.amfiindia.com
| KPIs* | Fund | Benchmark | Cat. Avg | Min | Max | Rank (In Cat.) | Performance |
|---|---|---|---|---|---|---|
| 1M Return % | 0.46 |
0.45
|
0.41 | 0.47 | 11 | 35 | Good | |
| 3M Return % | 1.43 |
1.41
|
1.28 | 1.45 | 17 | 35 | Good | |
| 6M Return % | 2.84 |
2.83
|
2.56 | 2.90 | 21 | 35 | Average | |
| 1Y Return % | 6.47 |
6.45
|
5.93 | 6.61 | 20 | 35 | Average | |
| 3Y Return % | 6.92 |
6.86
|
6.28 | 7.03 | 19 | 34 | Average | |
| 5Y Return % | 5.74 |
5.66
|
5.06 | 5.80 | 10 | 33 | Good | |
| 7Y Return % | 5.67 |
5.60
|
5.05 | 5.83 | 11 | 30 | Good | |
| 10Y Return % | 6.16 |
6.06
|
5.50 | 6.26 | 4 | 25 | Very Good | |
| 15Y Return % | 7.12 |
7.05
|
6.50 | 7.42 | 5 | 21 | Very Good | |
| 1Y SIP Return % | 6.12 |
6.11
|
5.57 | 6.25 | 21 | 35 | Average | |
| 3Y SIP Return % | 6.76 |
6.72
|
6.17 | 6.89 | 21 | 34 | Average | |
| 5Y SIP Return % | 6.44 |
6.37
|
5.80 | 6.54 | 17 | 33 | Good | |
| 7Y SIP Return % | 5.97 |
5.92
|
5.34 | 6.04 | 14 | 30 | Good | |
| 10Y SIP Return % | 5.96 |
5.89
|
5.32 | 6.01 | 6 | 25 | Very Good | |
| 15Y SIP Return % | 6.47 |
6.41
|
5.83 | 6.62 | 4 | 21 | Very Good | |
| Standard Deviation | 0.18 |
0.18
|
0.14 | 0.19 | 19 | 33 | Average | |
| Semi Deviation | 0.14 |
0.14
|
0.11 | 0.14 | 23 | 33 | Average | |
| Sharpe Ratio | 6.39 |
6.22
|
3.24 | 7.11 | 16 | 33 | Good | |
| Sterling Ratio | 0.69 |
0.69
|
0.63 | 0.70 | 19 | 33 | Average | |
| Sortino Ratio | 17.30 |
17.98
|
2.60 | 27.63 | 20 | 33 | Average | |
| Jensen Alpha % | 6.00 |
5.98
|
5.41 | 6.14 | 22 | 33 | Average | |
| Treynor Ratio | 0.18 |
0.19
|
0.10 | 0.26 | 26 | 33 | Average | |
| Modigliani Square Measure % | 24.94 |
25.24
|
23.51 | 31.76 | 16 | 33 | Good | |
| Alpha % | -0.80 |
-0.82
|
-1.43 | -0.69 | 24 | 33 | Average |
| KPIs* | Fund | Benchmark | Cat. Avg | Min | Max | Rank (In Cat.) | Performance |
|---|---|---|---|---|---|---|
| 1M Return % | 0.47 | 0.46 | 0.45 | 0.47 | 10 | 35 | Good | |
| 3M Return % | 1.45 | 1.45 | 1.37 | 1.47 | 16 | 35 | Good | |
| 6M Return % | 2.90 | 2.90 | 2.75 | 2.95 | 23 | 35 | Average | |
| 1Y Return % | 6.61 | 6.59 | 6.20 | 6.71 | 23 | 35 | Average | |
| 3Y Return % | 7.05 | 7.00 | 6.66 | 7.12 | 16 | 34 | Good | |
| 5Y Return % | 5.86 | 5.79 | 5.48 | 6.00 | 9 | 33 | Very Good | |
| 7Y Return % | 5.78 | 5.73 | 5.37 | 6.13 | 10 | 30 | Good | |
| 10Y Return % | 6.27 | 6.17 | 5.73 | 6.50 | 4 | 26 | Very Good | |
| 1Y SIP Return % | 6.25 | 6.25 | 5.89 | 6.35 | 25 | 35 | Average | |
| 3Y SIP Return % | 6.89 | 6.86 | 6.50 | 6.97 | 22 | 34 | Average | |
| 5Y SIP Return % | 6.56 | 6.51 | 6.19 | 6.62 | 16 | 33 | Good | |
| 7Y SIP Return % | 6.09 | 6.05 | 5.76 | 6.24 | 13 | 30 | Good | |
| 10Y SIP Return % | 6.07 | 6.01 | 5.67 | 6.29 | 6 | 26 | Very Good | |
| Standard Deviation | 0.18 | 0.18 | 0.14 | 0.19 | 19 | 33 | Average | |
| Semi Deviation | 0.14 | 0.14 | 0.11 | 0.14 | 23 | 33 | Average | |
| Sharpe Ratio | 6.39 | 6.22 | 3.24 | 7.11 | 16 | 33 | Good | |
| Sterling Ratio | 0.69 | 0.69 | 0.63 | 0.70 | 19 | 33 | Average | |
| Sortino Ratio | 17.30 | 17.98 | 2.60 | 27.63 | 20 | 33 | Average | |
| Jensen Alpha % | 6.00 | 5.98 | 5.41 | 6.14 | 22 | 33 | Average | |
| Treynor Ratio | 0.18 | 0.19 | 0.10 | 0.26 | 26 | 33 | Average | |
| Modigliani Square Measure % | 24.94 | 25.24 | 23.51 | 31.76 | 16 | 33 | Good | |
| Alpha % | -0.80 | -0.82 | -1.43 | -0.69 | 24 | 33 | Average |
Disclaimer: Past performance may or may not be sustained in future and should not be used as a basis for comparison with other investments. Returns for periods above 1 year are annualised.
| Date | Baroda Bnp Paribas Liquid Fund NAV Regular Growth | Baroda Bnp Paribas Liquid Fund NAV Direct Growth |
|---|---|---|
| 12-12-2025 | 3078.8971 | 3119.5841 |
| 11-12-2025 | 3078.4613 | 3119.1322 |
| 10-12-2025 | 3078.0356 | 3118.6907 |
| 09-12-2025 | 3077.7575 | 3118.3986 |
| 08-12-2025 | 3077.4082 | 3118.0345 |
| 05-12-2025 | 3076.0512 | 3116.6288 |
| 04-12-2025 | 3075.1384 | 3115.6938 |
| 03-12-2025 | 3074.7121 | 3115.2516 |
| 02-12-2025 | 3074.3441 | 3114.8684 |
| 01-12-2025 | 3073.8752 | 3114.3832 |
| 28-11-2025 | 3072.5145 | 3112.9739 |
| 27-11-2025 | 3072.0915 | 3112.5351 |
| 26-11-2025 | 3071.5799 | 3112.0064 |
| 25-11-2025 | 3071.0714 | 3111.481 |
| 24-11-2025 | 3070.5722 | 3110.965 |
| 21-11-2025 | 3069.183 | 3109.5269 |
| 20-11-2025 | 3068.7257 | 3109.0533 |
| 19-11-2025 | 3068.2861 | 3108.5978 |
| 18-11-2025 | 3067.7761 | 3108.0708 |
| 17-11-2025 | 3067.2469 | 3107.5245 |
| 14-11-2025 | 3065.83 | 3106.0583 |
| 13-11-2025 | 3065.3646 | 3105.5766 |
| 12-11-2025 | 3064.8274 | 3105.0221 |
| Fund Launch Date: 21/Feb/2002 |
| Fund Category: Liquid Fund |
| Investment Objective: The primary objective of the Scheme is to generate income with a high level of liquidity by investing in a portfolio of money market and debt securities. There is no assurance that the investment objective of the Scheme will be realized. |
| Fund Description: An open-ended liquid scheme. A Relatively Low Interest Rate Risk and Moderate Credit Risk |
| Fund Benchmark: CRISIL Liquid Fund Index |
Disclaimer: NO INVESTMENT ADVICE. The Content is for informational purposes only.