Inactive Funds

फंड का नाम
एएमसी
कैटेगरी
स्टेटस
रिडीम करने की तारीख़
पिछला NAV
Termination date
Return % (Since launch)
Redeemed
29-जुलाई-2019
14.3126
29-जुलाई-2019
10.82
Redeemed
29-जुलाई-2019
13.7094
29-जुलाई-2019
9.46
Redeemed
08-सितंबर-2014
13.8959
08-सितंबर-2014
--
Redeemed
30-अगस्त-2019
14.9706
30-अगस्त-2019
12.03
Redeemed
30-अगस्त-2019
14.3375
30-अगस्त-2019
10.68
Redeemed
29-अप्रैल-2020
12.7150
29-अप्रैल-2020
6.56
Redeemed
29-अप्रैल-2020
12.1180
29-अप्रैल-2020
5.21
Redeemed
06-मई-2020
12.5981
06-मई-2020
6.37
Redeemed
06-मई-2020
12.0792
06-मई-2020
5.18
Redeemed
28-मई-2020
12.4194
28-मई-2020
6.00
Redeemed
28-मई-2020
11.8615
28-मई-2020
4.70
Redeemed
20-अगस्त-2020
11.3618
20-अगस्त-2020
3.49
Redeemed
20-अगस्त-2020
10.8863
20-अगस्त-2020
2.31
Redeemed
07-अक्तूबर-2014
14.0382
07-अक्तूबर-2014
--
Redeemed
30-सितंबर-2020
14.6279
30-सितंबर-2020
5.43
Redeemed
30-सितंबर-2020
13.6994
30-सितंबर-2020
4.48
Redeemed
30-सितंबर-2020
15.1062
30-सितंबर-2020
5.96
Redeemed
30-सितंबर-2020
14.1597
30-सितंबर-2020
5.00
Redeemed
06-मार्च-2017
13.1877
06-मार्च-2017
--
Redeemed
30-सितंबर-2020
14.1605
30-सितंबर-2020
5.04
Redeemed
25-जुलाई-2017
13.3943
25-जुलाई-2017
--
Redeemed
25-जुलाई-2017
12.9454
25-जुलाई-2017
--
Redeemed
18-अगस्त-2017
13.4390
18-अगस्त-2017
--
Redeemed
18-अगस्त-2017
12.9889
18-अगस्त-2017
--
The fund house has withdrawn the fund
18-मार्च-2025
0.0000
--
--
The fund house has withdrawn the fund
04-मार्च-2025
0.0000
--
--
The fund house has withdrawn the fund
04-मार्च-2025
0.0000
--
--
Merged with Axis CRISIL IBX 50:50 Gilt Plus SDL Jun 2028 Index Fund - Direct Plan
01-मई-2026
12.8993
30-अप्रैल-2026
5.78
Merged with Axis CRISIL IBX 50:50 Gilt Plus SDL Jun 2028 Index Fund - Regular Plan
01-मई-2026
12.8252
30-अप्रैल-2026
5.65
Merged with Axis CRISIL IBX 50:50 Gilt Plus SDL Jun 2028 Index Fund - Direct Plan
01-मई-2026
13.3947
30-अप्रैल-2026
5.87
The fund house has withdrawn the fund
20-मार्च-2023
10.0000
20-मार्च-2023
--
The fund house has withdrawn the fund
20-मार्च-2023
10.0000
20-मार्च-2023
--
The fund house has withdrawn the fund
08-जून-2023
10.0000
08-जून-2023
--
The fund house has withdrawn the fund
08-जून-2023
10.0000
08-जून-2023
--
The fund house has withdrawn the fund
05-अप्रैल-2023
10.0000
05-अप्रैल-2023
--
The fund house has withdrawn the fund
05-अप्रैल-2023
10.0000
05-अप्रैल-2023
--
The fund house has withdrawn the fund
11-दिसंबर-2023
10.0000
11-दिसंबर-2023
--
The fund house has withdrawn the fund
11-दिसंबर-2023
10.0000
11-दिसंबर-2023
--
Terminated
24-फ़रवरी-2015
10.9988
23-फ़रवरी-2015
--
Terminated
24-फ़रवरी-2015
10.9377
23-फ़रवरी-2015
--
Terminated
21-फ़रवरी-2014
10.0000
20-फ़रवरी-2014
--
Terminated
21-फ़रवरी-2014
10.0000
20-फ़रवरी-2014
--
Terminated
07-मार्च-2014
10.0000
06-मार्च-2014
--
Terminated
07-मार्च-2014
10.0000
06-मार्च-2014
--
Currently no investors in the scheme
13-मार्च-2025
0.0000
--
--
Change in AMC name
13-मार्च-2023
10.8780
23-मई-2014
--
Change in AMC name
13-मार्च-2023
13.7021
27-अप्रैल-2015
--
Change in AMC name
13-मार्च-2023
15.9601
10-मार्च-2016
--
Merged with Bandhan Short Duration Fund - Direct Plan
01-मई-2026
12.7711
30-अप्रैल-2026
7.18
Merged with Bandhan Short Duration Fund - Regular Plan
01-मई-2026
12.6587
30-अप्रैल-2026
6.91
Redeemed
15-मई-2025
10.1912
15-मई-2025
1.91
Redeemed
15-मई-2025
10.1883
15-मई-2025
1.88
The fund house has withdrawn the fund
15-अक्तूबर-2025
0.0000
--
--
Change in AMC name
13-मार्च-2023
10.1008
04-जून-2010
--
Change in scheme name
13-मार्च-2023
10.0000
13-सितंबर-2010
--
Change in AMC name
13-मार्च-2023
10.0000
13-सितंबर-2010
--
Change in scheme name
13-मार्च-2023
1.0000
11-जुलाई-2016
--
Change in AMC name
13-मार्च-2023
1.0000
11-जुलाई-2016
--
The fund house has withdrawn the fund
15-अक्तूबर-2025
0.0000
--
--
The fund house has withdrawn the fund
27-फ़रवरी-2024
10.0000
27-फ़रवरी-2024
--
The fund house has withdrawn the fund
27-फ़रवरी-2024
10.0000
27-फ़रवरी-2024
--
Change in scheme name
22-जुलाई-2025
10.0000
01-अक्तूबर-2008
--
Change in AMC name
15-जून-2022
1,375.4784
17-अप्रैल-2013
--
Change in AMC name
15-जून-2022
1,339.2836
02-दिसंबर-2012
--
Change in AMC name
15-जून-2022
1,226.9964
30-नवंबर-2021
--
Change in AMC name
15-जून-2022
15.0822
17-दिसंबर-2014
--
Change in AMC name
15-जून-2022
1,002.9232
28-जनवरी-2015
--
Merged with Baroda BNP Paribas Short Duration Fund - Direct Plan
17-अक्तूबर-2025
13.1906
16-अक्तूबर-2025
5.90
Merged with Baroda BNP Paribas Short Duration Fund - Regular Plan
17-अक्तूबर-2025
12.8884
16-अक्तूबर-2025
5.39
Merged with Baroda BNP Paribas Money Market Fund - Direct Plan
11-सितंबर-2024
11.2381
10-सितंबर-2024
8.84
Merged with Baroda BNP Paribas Money Market Fund - Regular Plan
11-सितंबर-2024
11.1764
10-सितंबर-2024
8.41
Redeemed
23-जून-2023
10.0000
21-जून-2023
--
Redeemed
23-जून-2023
10.0000
21-जून-2023
--
Redeemed
19-अप्रैल-2022
12.6482
19-अप्रैल-2022
7.68
Redeemed
19-अप्रैल-2022
12.5265
19-अप्रैल-2022
7.35
Change in scheme name
14-मार्च-2022
1,000.0000
01-अप्रैल-2016
--
AMC Takeover
14-मार्च-2022
1,000.0000
01-अप्रैल-2016
--
Merged with Baroda BNP Paribas Credit Risk Fund - Direct Plan
11-सितंबर-2024
18.9403
10-सितंबर-2024
6.26
Merged with Baroda BNP Paribas Credit Risk Fund - Regular Plan
11-सितंबर-2024
17.7563
10-सितंबर-2024
5.61
Merged with Baroda BNP Paribas Conservative Hybrid Fund - Direct Plan
14-मार्च-2022
32.6754
13-मार्च-2022
9.05
Merged with Baroda BNP Paribas Conservative Hybrid Fund - Regular Plan
14-मार्च-2022
30.2136
13-मार्च-2022
6.51
Merged with Baroda BNP Paribas Dynamic Bond Fund - Direct Plan
14-मार्च-2022
19.9314
13-मार्च-2022
7.17
Merged with Baroda BNP Paribas Dynamic Bond Fund - Regular Plan
14-मार्च-2022
18.7989
13-मार्च-2022
6.72
Merged with Baroda BNP Paribas ELSS Tax Saver Fund - Direct Plan
14-मार्च-2022
49.1639
13-मार्च-2022
13.74
Merged with Baroda BNP Paribas ELSS Tax Saver Fund - Regular Plan
14-मार्च-2022
38.9383
13-मार्च-2022
12.62
Merged with Baroda BNP Paribas Balanced Advantage Fund - Direct Plan
14-मार्च-2022
89.2832
13-मार्च-2022
12.44
Merged with Baroda BNP Paribas Balanced Advantage Fund - Regular Plan
14-मार्च-2022
81.2851
13-मार्च-2022
11.98
Merged with Baroda Dynamic Bond Fund - Direct Plan
12-जनवरी-2019
28.3494
11-जनवरी-2019
7.82
Merged with Baroda Dynamic Bond Fund
12-जनवरी-2019
27.0574
11-जनवरी-2019
6.09
Merged with Baroda BNP Paribas Large Cap Fund - Direct Plan
14-मार्च-2022
21.9588
13-मार्च-2022
11.39
Merged with Baroda BNP Paribas Large Cap Fund - Regular Plan
14-मार्च-2022
20.5294
13-मार्च-2022
6.32
Merged with Baroda BNP Paribas Midcap Fund - Direct Plan
14-मार्च-2022
17.8351
13-मार्च-2022
9.89
Merged with Baroda BNP Paribas Midcap Fund - Regular Plan
14-मार्च-2022
16.5102
13-मार्च-2022
4.48
The fund house has withdrawn the fund
22-जनवरी-2019
1,000.0000
22-जनवरी-2019
--
The fund house has withdrawn the fund
22-जनवरी-2019
1,000.0000
22-जनवरी-2019
--
Redeemed
28-जून-2012
10.9074
28-जून-2012
--
Redeemed
25-अक्तूबर-2012
10.9656
25-अक्तूबर-2012
--
Redeemed
04-मार्च-2013
11.0334
04-मार्च-2013
--
Redeemed
20-मई-2013
10.9857
20-मई-2013
--
Redeemed
03-अप्रैल-2013
11.0399
03-अप्रैल-2013
--