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  • Fund Type - Equity

    Nature - Open Ended

    Benchmark - Nifty 500 Multi cap 50:25:25 Total Return Index - TRI i

  • Risk Label - Very High i

    Investment Type - Long Term

  • AUM - 598.32 Crores (As on September 30, 2021)

  • Date of Allotment - September 15, 2005

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Funds Performance ( *As per SEBI regulations, the performance of this scheme can't be displayed as it has been in existence for less than 1 year.)

NAVs for BNP Paribas Multi Cap Fund

Scheme Plan NAV per unit (`)
BNP Paribas Multi Cap Fund - Regular - Growth 79.300
BNP Paribas Multi Cap Fund - Direct - Growth 90.044
BNP Paribas Multi Cap Fund - Direct - IDCW*^# 25.067
BNP Paribas Multi Cap Fund - Regular - IDCW*^# 20.960

#Income Distribution cum Capital Withdrawal option

*Amounts can be distributed out of investors capital (equalization reserve), which is part of sale price that represents realized gains. However, investors are requested to note that amount (dividend) distribution under IDCW option is not guaranteed and subject to availability of distributable surplus.

^Pursuant to SEBI circular SEBI/HO/IMD/DF3/CIR/P/2020/194 dated October 05, 2020, 'Dividend option' under schemes of BNP Paribas Mutual Fund have been renamed to 'Income Distribution cum Capital Withdrawal option (IDCW)' effective April 01, 2021.

Mutual Fund investments are subject to market risks, read all scheme related documents carefully.

Past performance may or may not be sustained in future and should not be used as a basis of comparison with other investments. Returns do not take into account the load, if any. Returns are for growth option. Different plans shall have a different expense structure.

Fund Details

Investors seeking to exploit opportunities from the equity markets while combining it with a regular income stream from a portfolio of high dividend yield stocks.

  • Investment Objective

    The investment objective is to generate long term capital growth from an actively managed portfolio of equity and equity related securities across market capitalisation. However, there can be no assurance that the investment objective of the Scheme will be achieved. The Scheme does not guarantee/indicate any returns.

  • Load Structure

    Entry Load: Nil Exit Load: If units of the Scheme are redeemed or switched out within 3 months from the date of allotment – 1% of the applicable NAV;
    If units of Scheme are redeemed or switched out after 3 months from the date of allotment - Nil.
    No exit load will be charged for Dividend reinvestment units. Transaction charges, if applicable, shall be deducted
    No exit load will be charged on switches between options of the same plan of the Fund. The above mentioned load structure is also applicable to SIP investments.

  • Systematic Investment Plan (SIP)

    Daily, Weekly, Monthly, Quarterly Options Available

  • Systematic Transfer Plan (STP)

    Daily*, Weekly, Fortnightly, Monthly & Quarterly Options Available
    *Daily STP shall be available for ‘Transfer into’ BNP Paribas Multi Cap Fund. For the purpose of Daily STP following are the eligible Transferor Scheme(s): BNP Paribas Liquid Fund, BNP Paribas Low Duration Fund and BNP Paribas Short Term Fund.

  • Systematic Withdrawal Plan (SWP)

    Weekly, Monthly, Quarterly Options Available

  • Redemption

    Within 10 business days of receiving the redemption request at the Official Point of Acceptance of Transactions of the Registrar and the AMC. However, under normal circumstances, the Mutual Fund will endeavour to dispatch the redemption proceeds within three business days from the acceptance of the redemption request.

Download Scheme Documents

Fund Manager

Portfolio (As on 30/09/2021)

Top 10 holdings in BNP Paribas Multi Cap Fund

Holdings Industry % of Net Assets
HDFC Bank Ltd.Banks8.64%
ICICI Bank Ltd.Banks6.44%
Infosys Ltd.Software4.98%
Reliance Industries Ltd.Petroleum Products4.55%
Tata Consultancy Services Ltd.Software2.97%
Century Plyboards (India) Ltd.Consumer Durables2.89%
Jindal Steel & Power Ltd.Ferrous Metals2.60%
Avanti Feeds Ltd.Consumer Non Durables2.48%
MindTree Ltd.Software2.42%
Bharat Electronics Ltd.Aerospace & Defense2.12%
View all holdings for this fund

Composition by Assets

  • Banks

    20.69%

  • Software

    14.61%

  • Consumer Durables

    8.68%

  • Consumer Non Durables

    6.94%

  • Pharmaceuticals

    5.29%

  • Petroleum Products

    5.25%

  • Gas

    4.82%

  • Ferrous Metals

    4.25%

  • Retailing

    3.22%

  • Chemicals

    3.02%

  • Cement & Cement Products

    2.93%

  • Auto Ancillaries

    2.18%

  • Aerospace & Defense

    2.12%

  • Finance

    2.09%

  • Telecom - Services

    1.95%

  • Auto

    1.87%

  • Capital Markets

    1.60%

  • Textiles - Cotton

    1.58%

  • Industrial Capital Goods

    1.48%

  • Minerals/Mining

    1.36%

  • Entertainment

    1.11%

  • Insurance

    1.10%

Asset Allocation

Type Minimum Normal Maximum
Equity and Equity related securities 65% 100%
Debt Instruments & Money Market Instruments (including cash and money at call) 0% 35%
Units issued by REITs & InvITs 0% 10%



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The information and data contained in this Website do not constitute distribution, an offer to buy or sell or solicitation of an offer to buy or sell any Schemes/Units of BNP Paribas Mutual Fund to any person in the United States of America/Canada.

Karthikraj Lakshmanan

Senior Fund Manager

 Karthikraj Lakshmanan

Mr. Karthikraj Lakshmanan is at the helm as the Senior Fund Manager – Equities at BNP Paribas Asset Management (BNPP AM), since July 2008. He brings a wealth of experience of over 13 years coupled with insightful knowledge of the financial domain.

Mr. Lakshmanan has previously held several leadership positions including Senior Research Analyst in the Portfolio Management Services division of ICICI Prudential AMC assisting the Fund Manager in managing Equity Portfolios. He has also garnered valuable experience working with Goldman Sachs in the Global Investment Research Division and with Wholesale Banking Group of ICICI Bank.

A seasoned professional, Mr. Lakshmanan is an astute reader of the market dynamics and brings strong fund management capabilities to the table.

Mr. Lakshmanan is a Chartered Accountant and holds a Post Graduate Diploma in Business Management from SPJIMR, Mumbai. He has a CFA Level 3 (CFAI, USA) degree as well.

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Scheme Riskometer**


**Basis portfolio of the scheme as on September 30, 2021

Riskometer


*Investors should consult their financial advisers if in doubt about whether the product is suitable for them

Benchmark Riskometer**


**Basis constituents of the index as on September 30, 2021

Benchmark

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