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KYC is one time exercise while dealing in securities markets - once KYC is done through a SEBI registered intermediary (broker, DP, Mutual Fund, etc.), you need not undergo the same process again when you approach another intermediary.
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Baroda Liquid Fund - Plan C Unclaimed Dividend Up To 3 Years1330.095629/10/2020
Baroda Liquid Fund - Plan C Unclaimed Dividend Above 3 Years1000.000029/10/2020
Baroda Liquid Fund - Plan C Unclaimed Redemption Up To 3 Years1327.963929/10/2020
Baroda Liquid Fund - Plan C Unclaimed Redemption Above 3 Years1000.000029/10/2020
Baroda Short Term Bond Fund - Plan B Monthly Dividend10.131929/10/2020
Baroda Short Term Bond Fund - Plan B Growth23.701029/10/2020
Baroda Short Term Bond Fund - Plan B Quarterly Dividend11.030629/10/2020
Baroda Short Term Bond Fund - Plan A Monthly Dividend10.131129/10/2020
Baroda Short Term Bond Fund - Plan A Growth22.552629/10/2020
Baroda Short Term Bond Fund - Plan A Quarterly Dividend10.802229/10/2020
Baroda Elss 96 - Plan B Bonus48.290029/10/2020
Baroda Elss 96 - Plan A Bonus44.490029/10/2020
Baroda Elss 96 - Plan B Dividend33.580029/10/2020
Baroda Elss 96 - Plan B Growth48.290029/10/2020
Baroda Elss 96 - Plan A Dividend27.290029/10/2020
Baroda Elss 96 - Plan A Growth44.490029/10/2020
Baroda Hybrid Equity Fund (Balance Fund Till 05.06.2018) - Plan A Bonus43.500027/12/2016
Baroda Hybrid Equity Fund (Balance Fund Till 05.06.2018) - Plan B Dividend16.540029/10/2020
Baroda Hybrid Equity Fund (Balance Fund Till 05.06.2018) - Plan B Growth61.200029/10/2020
Baroda Hybrid Equity Fund (Balance Fund Till 05.06.2018) - Plan A Dividend14.270029/10/2020
Baroda Hybrid Equity Fund (Balance Fund Till 05.06.2018) - Plan A Growth56.240029/10/2020
Baroda Banking And Financial Services Fund - Plan B Bonus14.750001/09/2015
Baroda Banking And Financial Services Fund - Plan A Bonus20.870001/03/2019
Baroda Banking And Financial Services Fund - Plan B Dividend14.870029/10/2020
Baroda Banking And Financial Services Fund - Plan B Growth21.560029/10/2020
Baroda Banking And Financial Services Fund - Plan A Dividend13.800029/10/2020
Baroda Banking And Financial Services Fund - Plan A Growth20.300029/10/2020
Baroda Dynamic Equity Fund - Direct Dividend13.100029/10/2020
Baroda Dynamic Equity Fund - Direct Growth13.100029/10/2020
Baroda Dynamic Equity Fund - Regular Dividend12.730029/10/2020
Baroda Dynamic Equity Fund - Regular Growth12.730029/10/2020
Baroda Equity Savings Fund - Direct Plan Dividend11.390029/10/2020
Baroda Equity Savings Fund - Direct Growth11.390029/10/2020
Baroda Equity Savings Fund - Regular Plan Dividend11.240029/10/2020
Baroda Equity Savings Fund - Regular Growth11.240029/10/2020
Baroda Multi Cap Fund (Growth Fund Till 05.06.2018) - Plan B Dividend28.230029/10/2020
Baroda Multi Cap Fund (Growth Fund Till 05.06.2018) - Plan B Growth106.570029/10/2020
Baroda Multi Cap Fund (Growth Fund Till 05.06.2018) - Plan A Dividend27.720029/10/2020
Baroda Multi Cap Fund (Growth Fund Till 05.06.2018) - Plan A Growth99.480029/10/2020
Baroda Large Cap Fund - Plan B Dividend12.550029/10/2020
Baroda Large Cap Fund - Plan B Growth15.640029/10/2020
Baroda Large Cap Fund - Plan A Dividend11.780029/10/2020
Baroda Large Cap Fund - Plan A Growth14.810029/10/2020
Baroda Large And Mid Cap Fund - Direct Dividend10.170029/10/2020
Baroda Large And Mid Cap Fund - Direct Growth10.170029/10/2020
Baroda Large And Mid Cap Fund - Regular Dividend10.140029/10/2020
Baroda Large And Mid Cap Fund - Regular Growth10.140029/10/2020
Baroda Mid-Cap Fund - Plan B Dividend10.410029/10/2020
Baroda Mid-Cap Fund - Plan B Growth10.410029/10/2020
Baroda Mid-Cap Fund - Plan A Dividend9.760029/10/2020
Baroda Mid-Cap Fund - Plan A Growth9.760029/10/2020
Baroda Credit Risk Fund - Segregated Portfolio - Plan B Monthly Dividend0.000029/10/2020
Baroda Credit Risk Fund - Segregated Portfolio - Plan B Growth0.000029/10/2020
Baroda Credit Risk Fund - Segregated Portfolio - Plan B Quarterly Dividend0.000029/10/2020
Baroda Credit Risk Fund - Segregated Portfolio - Plan A Growth0.000029/10/2020
Baroda Credit Risk Fund - Segregated Portfolio - Plan A Monthly Dividend0.000029/10/2020
Baroda Credit Risk Fund - Segregated Portfolio - Plan A Quarterly Dividend0.000029/10/2020
Baroda Treasury Adv. Fund - Segregated Portfolio - Plan B Daily Dividend0.000029/10/2020
Baroda Treasury Adv. Fund - Segregated Portfolio - Plan B Growth0.000029/10/2020
Baroda Treasury Adv. Fund - Segregated Portfolio - Plan B Monthly Dividend0.000029/10/2020
Baroda Treasury Adv. Fund - Segregated Portfolio - Plan B Quarterly Dividend0.000029/10/2020
Baroda Treasury Adv. Fund - Segregated Portfolio - Plan B Weekly Dividend0.000029/10/2020
Baroda Treasury Adv. Fund - Segregated Portfolio - Plan A Daily Dividend0.000029/10/2020
Baroda Treasury Adv. Fund - Segregated Portfolio - Plan A Growth0.000029/10/2020
Baroda Treasury Adv. Fund - Segregated Portfolio - Plan A Monthly Dividend0.000029/10/2020
Baroda Treasury Adv. Fund - Segregated Portfolio - Plan A Quarterly Dividend0.000029/10/2020
Baroda Treasury Adv. Fund - Segregated Portfolio - Plan A Weekly Dividend0.000029/10/2020
Baroda Treasury Adv. Fund - Segregated Portfolio - Regular Daily Dividend0.000029/10/2020
Baroda Treasury Adv. Fund - Segregated Portfolio - Regular Growth0.000029/10/2020
Baroda Treasury Adv. Fund - Segregated Portfolio - Regular Monthly Dividend0.000029/10/2020
Baroda Treasury Adv. Fund - Segregated Portfolio - Regular Weekly Dividend0.000029/10/2020
Baroda Money Market Fund Direct Plan Daily Dividend1005.783909/03/2020
Baroda Money Market Fund - Direct Plan Growth1077.698029/10/2020
Baroda Money Market Fund Direct Plan Monthly Dividend1006.200709/09/2019
Baroda Money Market Fund Direct Plan Weekly Dividend1000.000019/06/2019
Baroda Money Market Fund Regular Plan Daily Dividend1005.848629/10/2020
Baroda Money Market Fund - Regular Plan Growth1073.284029/10/2020
Baroda Money Market Fund Regular Plan Monthly Dividend1001.099729/10/2020
Baroda Money Market Fund Regular Plan Weekly Dividend1000.856829/10/2020
Baroda Credit Risk Fund* - Plan B Bonus14.128605/07/2018
Baroda Credit Risk Fund* - Plan A Bonus11.074322/02/2016
Baroda Credit Risk Fund* - Plan B Monthly Dividend10.536929/10/2020
Baroda Credit Risk Fund* - Plan B Growth15.328029/10/2020
Baroda Credit Risk Fund* - Plan B Quarterly Dividend10.824629/10/2020
Baroda Credit Risk Fund* - Plan A Growth14.437929/10/2020
Baroda Credit Risk Fund* - Plan A Monthly Dividend10.045929/10/2020
Baroda Credit Risk Fund* - Plan A Quarterly Dividend10.243929/10/2020
Baroda Dynamic Bond Fund - Plan B Dividend14.211529/10/2020
Baroda Dynamic Bond Fund - Plan B Growth18.713929/10/2020
Baroda Dynamic Bond Fund - Plan A Dividend13.319829/10/2020
Baroda Dynamic Bond Fund - Plan A Growth17.737729/10/2020
Baroda Gilt Fund - Plan B Dividend30.541729/10/2020
Baroda Gilt Fund - Plan B Growth35.526829/10/2020
Baroda Gilt Fund - Plan A Dividend23.326429/10/2020
Baroda Gilt Fund - Plan A Growth33.195929/10/2020
Baroda Conservative Hybrid Fund (Mip Fund Till 05.06.2018) - Plan B Monthly Dividend15.398629/10/2020
Baroda Conservative Hybrid Fund (Mip Fund Till 05.06.2018) - Plan B Growth29.882229/10/2020
Baroda Conservative Hybrid Fund (Mip Fund Till 05.06.2018) - Plan B Quarterly Dividend14.195129/10/2020
Baroda Conservative Hybrid Fund (Mip Fund Till 05.06.2018) - Plan A Growth27.972529/10/2020
Baroda Conservative Hybrid Fund (Mip Fund Till 05.06.2018) - Plan A Monthly Dividend14.530929/10/2020
Baroda Conservative Hybrid Fund (Mip Fund Till 05.06.2018) - Plan A Quarterly Dividend14.101329/10/2020
Baroda Fixed Maturity Plan – Series P - Direct Plan Dividend11.899429/10/2020
Baroda Fixed Maturity Plan – Series P - Direct Plan Growth11.899429/10/2020
Baroda Fixed Maturity Plan – Series P - Regular Plan Dividend11.837129/10/2020
Baroda Fixed Maturity Plan – Series P - Regular Plan Growth11.837129/10/2020
Baroda Treasury Advantage Fund* - Plan A Bonus1730.500025/09/2019
Baroda Treasury Advantage Fund* - Plan B Daily Div693.048729/10/2020
Baroda Treasury Advantage Fund* - Plan B Growth1524.406029/10/2020
Baroda Treasury Advantage Fund* - Plan B Monthly Div.687.733829/10/2020
Baroda Treasury Advantage Fund* - Plan B Quarterly Dividend717.632929/10/2020
Baroda Treasury Advantage Fund* - Plan B Weekly Dividend687.000429/10/2020
Baroda Treasury Advantage Fund* - Plan A Daily Dividend705.045929/10/2020
Baroda Treasury Adv. Fund (Scheme Has One Segregated Portfolio) - Plan A Growth1487.821029/10/2020
Baroda Treasury Advantage Fund* - Plan A Monthly Dividend684.782429/10/2020
Baroda Treasury Advantage Fund* - Plan A Quarterly Dividend706.705129/10/2020
Baroda Treasury Adv. Fund (Scheme Has One Segregated Portfolio) - Plan A Weekly Dividend684.094929/10/2020
Baroda Treasury Advantage Fund* - Plan A Weekly Dividend684.094929/10/2020
Baroda Treasury Advantage Fund* - Regular Daily Dividend688.545629/10/2020
Baroda Treasury Advantage Fund* - Regular Growth1450.953329/10/2020
Baroda Treasury Advantage Fund* - Regular Monthly Dividend684.760429/10/2020
Baroda Treasury Advantage Fund* - Regular Weekly Dividend683.505529/10/2020
Baroda Ultra Short Duration Fund - Direct Plan Daily Dividend1007.061129/10/2020
Baroda Ultra Short Duration Fund - Direct Plan Growth1183.943129/10/2020
Baroda Ultra Short Duration Fund - Direct Plan Weekly Dividend1001.957329/10/2020
Baroda Ultra Short Duration Fund - Regular Plan Daily Dividend1006.258329/10/2020
Baroda Ultra Short Duration Fund - Regular Plan Growth1178.636729/10/2020
Baroda Ultra Short Duration Fund - Regular Plan Weekly Dividend1001.822229/10/2020
Baroda Liquid Fund - Plan B Bonus2027.294911/06/2018
Baroda Liquid Fund - Plan A Bonus1668.405003/11/2015
Baroda Liquid Fund - Plan B Daily Dividend1002.084929/10/2020
Baroda Liquid Fund - Plan B Growth2337.724929/10/2020
Baroda Liquid Fund - Plan B Weekly Dividend1218.745329/10/2020
Baroda Liquid Fund - Regular Daily Dividend1006.060229/10/2020
Baroda Liquid Fund - Regular Dividend2925.246929/10/2020
Baroda Liquid Fund - Regular Growth3414.315429/10/2020
Baroda Liquid Fund - Plan A Daily Dividend1001.199629/10/2020
Baroda Liquid Fund - Plan A Growth2320.302429/10/2020
Baroda Liquid Fund - Plan A Weekly Dividend1000.316929/10/2020
Baroda Liquid Fund - Plan C Unclaimed Growth1360.057829/10/2020
Baroda Overnight Fund - Direct Plan - Daily Dividend1000.000029/10/2020
Baroda Overnight Fund - Direct Plan Growth1067.324429/10/2020
Baroda Overnight Fund - Direct Plan - Weekly Dividend1000.310629/10/2020
Baroda Overnight Fund - Regular Plan - Daily Dividend1000.000029/10/2020
Baroda Overnight Fund - Regular Plan - Growth1066.432429/10/2020
Baroda Overnight Fund - Regular Plan - Weekly Dividend1000.201729/10/2020
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