Baroda BNP Paribas India Consumption Fund Direct Growth

Scheme code: INF251K01PT7 NAV value: ₹ 31.0738 NAV date: 19 March, 2026 TER: 0.65%
Fund option: Direct Fund type: Growth
Asset class: Equity Asset category: Sectoral/Thematic

Rolling returns

Summary

Duration Min (%) Max (%) Median (%) Average return (%) Category average return (%)
1 year-11.4872.1317.4720.3513.63
3 year13.9329.8720.6820.8118.78
5 year12.5527.0921.5121.3815.46
7 year15.7020.7618.8018.8913.55

Comparison vs benchmark returns

Index Metrics
NIFTY 50
Duration Min (%) Max (%) Average return (%) Fund's return (%)
1 year -7.0220.625.6120.35
3 year 6.2830.9515.0420.81
5 year 8.3826.0214.2221.38
7 year 10.1815.6212.9318.89
10 year 11.4212.9312.18
15 year -5.6515.886.78
NIFTY 100
Duration Min (%) Max (%) Average return (%) Fund's return (%)
1 year -8.4719.784.4920.35
3 year 6.5619.6413.5720.81
5 year 9.2212.2910.7521.38
NIFTY 200
Duration Min (%) Max (%) Average return (%) Fund's return (%)
1 year -8.3920.914.7520.35
3 year 7.6821.4915.0620.81
5 year 10.3713.511.9321.38
NIFTY 500
Duration Min (%) Max (%) Average return (%) Fund's return (%)
1 year -8.4720.674.1620.35
3 year 8.0432.0317.8120.81
5 year 8.1828.6415.3421.38
7 year 10.6416.4213.7718.89
10 year 12.5614.0613.31

SIP rolling returns

Summary

If you invest ₹1 lakh per month in this fund through SIP, here are the estimated returns over different timeframes.
Duration Invested amount Final value Return CAGR (%)

Comparison vs benchmark returns

Index Metrics

SIP return for 1 year

- Total Invested Amount: ₹12,00,000 - Final Portfolio Value: ₹13,03,735 - Absolute Returns: ₹1,03,735 - CAGR: %

SIP return for 3 year

- Total Invested Amount: ₹36,00,000 - Final Portfolio Value: ₹47,89,750 - Absolute Returns: ₹11,89,750 - CAGR: %

SIP return for 5 year

- Total Invested Amount: ₹60,00,000 - Final Portfolio Value: ₹98,60,317 - Absolute Returns: ₹38,60,317 - CAGR: %

SIP return for 7 year

- Total Invested Amount: ₹84,00,000 - Final Portfolio Value: ₹1,58,72,956 - Absolute Returns: ₹74,72,956 - CAGR: %

Drawdown Metrics

Max Drawdown

-30.82 %

Drawdown Duration

1 months

Recovery Time

8 months

Avg Drawdown

-4.92 %

Calmar Ratio by Duration

1 Y

0.6603

3 Y

0.6752

5 Y

0.6937

7 Y

0.6129

Benchmark Comparison

vs NIFTY 50

Duration Alpha Beta Upside Capture Downside Capture Fund CAGR Benchmark CAGR
1 year -4.30 0.80 75.9 79.6 0.21 % 4.00 %
3 years 4.72 0.75 81.0 72.4 14.79 % 11.28 %
5 years 4.10 0.77 79.7 72.9 12.87 % 9.44 %
7 years 6.02 0.77 79.1 71.5 15.78 % 10.74 %
10 years 4.77 0.77 79.3 70.5 12.09 % 7.57 %
12 years 3.66 0.77 79.3 70.5 9.98 % 6.27 %
15 years 2.57 0.77 79.3 70.5 7.91 % 4.98 %