ANOMALY WEALTHMutual Fund Intelligence Data throughAug 2026 Trade Intelligence ↗

Fund house · Oct–Dec 2021

BNP Paribas Mutual Fund

BNPPARIBAS Series ended Oct–Dec 2021Merged with Baroda Mutual Fund to form Baroda BNP Paribas Mutual Fund in 2022. Average AUM Oct–Dec 2010 – Oct–Dec 2021

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BNP Paribas in Large Cap

Category family: Large Cap · quarterly average AUM

Whole fund house →
1,258 Craverage AUM · Oct–Dec 2021 0.6%share of the category #14of 33 fund houses 13.8%of this fund house’s assets
QuarterAverage AUMShare of categoryPosition
Oct–Dec 20211,258 Cr0.56%14 of 33
Jul–Sep 20211,172 Cr0.57%14 of 33
Apr–Jun 20211,061 Cr0.57%13 of 32
Jan–Mar 20211,048 Cr0.59%13 of 32
Oct–Dec 2020962 Cr0.60%13 of 32
Jul–Sep 2020835 Cr0.57%12 of 29
Apr–Jun 2020724 Cr0.57%12 of 29
Jan–Mar 2020789 Cr0.54%13 of 29
Oct–Dec 2019803 Cr0.54%14 of 29
Jul–Sep 2019749 Cr0.54%14 of 29
Apr–Jun 2019773 Cr0.56%14 of 29

Assets, not flows. Back to Large Cap →

Average AUM · Oct–Dec 2021 9,117 Cr AAUM change on the quarter +4.2%, incl. market movement
Market share 0.24% -0.01 pp on a year ago
Rank 26of 43 23 a year ago
Share change · quarter -0.00 pp Previous quarter 0.24%
Direct plans 21.4% of non-ETF average assets

Official AMC-level net-flow data is not available from the validated source. AUM movement includes both investor flows and market movement. Every figure on this page is an asset figure.

Average AUM and market share

45 quarters · AMFI fund-wise average AUM

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Where its assets are

Category families · Oct–Dec 2021

Category familyAverage AUMShare of this AMCShare of categoryRank in category
Large CapEquity · position over time 1,258 Cr 13.8% 0.6% 14 of 33
LiquidDebt · position over time 1,186 Cr 13.0% 0.3% 25 of 39
Mid CapEquity · position over time 1,087 Cr 11.9% 0.7% 20 of 28
Sectoral & ThematicEquity · position over time 887 Cr 9.7% 0.6% 19 of 29
ArbitrageHybrid · position over time 742 Cr 8.1% 0.6% 15 of 26
Aggressive & Balanced HybridHybrid · position over time 736 Cr 8.1% 0.5% 17 of 34
Multi CapEquity · position over time 600 Cr 6.6% 1.6% 14 of 16
ELSS (Tax Saver)Equity · position over time 553 Cr 6.1% 0.4% 21 of 38
Conservative HybridHybrid · position over time 458 Cr 5.0% 2.4% 10 of 20
Balanced Advantage / Dynamic Asset AllocationHybrid · position over time 380 Cr 4.2% 0.2% 22 of 27
Short TermDebt · position over time 372 Cr 4.1% 0.3% 16 of 27
Ultra Short to Short TermDebt · position over time 318 Cr 3.5% 0.2% 19 of 24
FocusedEquity · position over time 213 Cr 2.3% 0.2% 23 of 26
Fund of Funds investing overseasFof Overseas · position over time 121 Cr 1.3% 0.5% 13 of 17
Dynamic TermDebt · position over time 116 Cr 1.3% 0.4% 17 of 26
OvernightDebt · position over time 41.22 Cr 0.5% 0.0% 28 of 30
Corporate BondDebt · position over time 27.37 Cr 0.3% 0.0% 21 of 21
Medium TermDebt · position over time 21.01 Cr 0.2% 0.1% 16 of 16

By AMFI’s current scheme category. “Share of category” is this fund house’s part of the whole industry’s average AUM in that category family; top-three positions are highlighted.

Asset-class mix

Share of this fund house’s average AUM

QuarterEquityDebtHybridPassive
Oct–Dec 202150.4%22.8%25.4%—
Jul–Sep 202149.8%23.7%25.2%—
Apr–Jun 202148.1%27.3%24.0%—
Jan–Mar 202148.3%30.1%21.6%—
Oct–Dec 202047.7%31.7%20.5%—
Jul–Sep 202048.2%29.8%22.0%—
Apr–Jun 202045.5%31.0%23.5%—
Jan–Mar 202043.5%36.6%19.9%—
Oct–Dec 201943.7%37.3%19.0%—
Jul–Sep 201944.3%36.6%19.2%—
Apr–Jun 201946.3%36.1%17.7%—
Jan–Mar 201945.5%36.3%18.2%—
Oct–Dec 201844.8%36.9%18.3%—
Jul–Sep 201839.6%44.7%15.7%—
Apr–Jun 201841.8%41.1%17.0%—
Jan–Mar 201841.4%40.0%18.6%—
Oct–Dec 201743.6%38.7%17.8%—
Jul–Sep 201742.7%39.6%17.7%—
Apr–Jun 201743.3%43.2%13.4%—
Jan–Mar 201745.7%48.0%6.2%—

This fund house’s monthly portfolios are not in the holdings dataset, so no disclosed equity holdings are shown.