Fundcard: BNP Paribas Midcap Fund
Fundcard: BNP Paribas Midcap Fund
Fundcard: BNP Paribas Midcap Fund
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BNP Paribas Midcap Fund
Rating: Fund Performance Vs S&P BSE 150 MidCap TRI
Risk: High
Return: Below Average
Fund
S&P BSE 150 MidCap TRI
(Rebased to 10,000)
History 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019
NAV (Rs) 8.19 10.21 8.09 12.32 13.49 22.34 25.75 25.44 37.91 31.28 30.32
Total Return (%) 90.82 24.71 -20.76 52.21 9.46 65.65 15.28 -1.22 49.01 -17.41 -3.06
+/- S&P BSE 150 MidCap TRI - 2.77 7.97 14.34 11.80 5.45 2.65 -7.97 -3.67 -4.47 2.62
+/- S&P BSE Sensex 9.79 7.28 3.88 26.67 0.48 35.76 20.31 -3.17 21.10 -23.28 -8.22
Rank (Fund/Category) 27/44 14/58 10/48 3/33 8/32 32/78 7/71 68/79 4/21 21/22 11/24
52 Week High (Rs) 8.19 11.26 10.31 12.32 13.49 22.43 26.94 28.88 37.91 38.60 -
52 Week Low (Rs) 3.49 7.75 7.98 8.09 10.75 12.63 22.26 21.36 25.61 28.40 -
Net Assets (Rs.Cr) 40.89 37.75 26.88 34.06 49.42 235.49 449.13 688.20 849.43 713.28 720.57
Expense Ratio (%) 2.50 2.50 2.50 2.50 2.89 2.88 2.69 2.42 2.43 2.50 -
Portfolio Manager
Abhijeet Dey
Worst Performance Since Oct 2016
YEAR -72.82%
Karthikraj Lakshmanan
Since Nov 2016
QUARTER -51.59%
MONTH -38.45%
Investment Information
AMC : BNP Paribas Asset Management (India) Private Ltd. Min Investment (Rs.) : 5000
Website : www.bnpparibasmf.in Min SIP Investment (Rs.) : 300
Registrar : Sundaram BNP Paribas Fund Services Exit Load : For units in excess of 10% of the
Launch : May 2006 investment,1% will be charged for redemption within
365 days
Benchmark : S&P BSE 150 MidCap TRI
All the graphs are rebased to 10,000 Plans (NAV) : Dividend (28.52) , Growth (30.32)
History
Fund Performance Vs Index
Data on the fund’s performance Sample Mutual Fund
since its launch. Graph of how an investors’ money
Rating: Fund Performance Vs S&P CNX Nifty
z NAV (Year End) — The last Risk: Low 90000
would have grown in the fund since
NAV of each year. Return: Above Average its launch. A similar graph of the
70000
z Total Return — The percent- Fund
fund’s benchmark index is also
age returns that an investor S&P CNX Nifty
50000
given. For ease of comparison,
would have got over the (Rebased to 10,000) 30000 both have been adjusted to start at
year. 10000
10,000.
z +/- — In the given year, a History 1998 1999 2000 2001 2002 2003 2004 2005 2006 2007 2008
comparison of the fund’s NAV (Rs) - - - - 10.33 19.71 23.94 33.94 50.13 81.34 41.89
Total Return (%) - - - - - 90.80 21.46 41.77 47.70 62.26 -48.50
returns with that of two stock +/-S&P CNX Nifty (%) - - - - - 18.90 10.78 5.43 7.87 7.49 3.29
market indices +/-BSE 200 (%) - - - - - -3.67 5.77 7.97 8.12 1.82 7.96
Rank (Fund/Category) - - - - - 54/70 50/79 65/101 27/145 71/162 34/192
z Rank — The fund’s perform- 52 Week High (Rs) - - - - 10.33 19.71 23.94 33.94 50.76 81.46 83.52
ance rank within its category 52 Week Low (Rs) - - - - 8.84 9.91 16.36 22.34 32.26 46.06 36.49
z 52-Week NAV Range — The Bharti Airtel Communication 18.56 -28.10 6.49 2008 -24.24 -14.18 -2.23 -18.97 -48.50 The funds’ returns over each quar-
highest and the lowest NAV
Reliance Industries
ONGC
Energy
Energy
11.50
8.31
-57.30
-46.00
5.42
4.50
2007
2006
-1.42
19.42
14.53
-7.25
16.01
19.39
23.88
11.70
62.26
47.70
ter of the last five years, along with
that the fund recorded dur- HDFC Bank Financial 20.67 -42.26 3.93 2005 -0.04 6.52 23.26 8.02 41.77 the entire year’s returns.
HDFC Financial 17.10 -48.21 3.51 2004 0.71 -13.50 15.08 21.15 21.46
ing that year Satyam Computer Services Technology 7.86 -62.12 3.16
Trailing Returns (%)
z Net Assets — The total
ITC FMCG 21.00 -18.47 2.72
Axis Bank Financial 10.42 -47.82 2.70 Return Rank S&P SIP
amount of investor’s assets Infosys Technologies Technology 14.29 -36.79 2.64 Fund Category Fund/Cat CNX Nifty Return
United Spirits FMCG 23.26 -55.48 2.34
that the fund was managing
Year-to-Date -48.50 -55.29 34/192 -51.79 -40.18
ICICI Bank Financial 9.49 -63.62 2.26 3-Month -18.97 -22.88 41/213 -24.53 -0.86
at the end of the year. Dr. Reddy's Lab
State Bank of India
Health Care
Financial
13.61
9.39
-36.12
-45.67
2.19
2.13
6-Month -20.78 -27.09 38/209 -26.76 -33.43
Trailing Returns (%)
1-Year -48.50 -55.29 34/192 -51.79 -40.18
z Expense Ratio — The per- Crompton Greaves Engineering 12.29 -65.84 2.12 2-Year -8.59 -16.06 22/158 -13.63 -24.19