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Summary Info
Fund Name Kotak Mahindra Mutual Fund
Scheme Name Kotak Aggressive Hybrid Fund (G)
AMC Kotak Mahindra Mutual Fund
Type Open
Category Hybrid - Equity Oriented
Launch Date 01-Nov-14
Fund Manager Atul Bhole
Net Assets ()Cr 8,431.47
NAV Graph
  One Month   Three Month   Six Month   One Year   Three Year   Five Year   Since INC
Latest Payouts
Dividends Bonus
Ratio NA NA
Date NA NA
Performance(%)
1 Week[%] 1 Month[%] 3 Month[%] 6 Month[%] 1 Year[%] 3 Year[%] 5 Year[%] Since INC[%]
Scheme Return -0.65 4.79 1.31 2.21 15.62 15.85 13.56 12.03
Category Avg -0.54 2.38 0.61 3.35 14.25 14.81 12.29 12.54
Category Best 1.25 6.22 11.36 22.86 35.67 26.32 27.78 32.90
Category Worst -2.64 -0.45 -10.84 -12.98 1.84 4.01 2.96 -0.12
Holdings
Company Name No of Shares Market Value Hold %
HDFC Bank 3,891,624 361.63 4.29
GE Vernova T&D 917,501 296.38 3.52
Fortis Health. 3,201,167 272.58 3.23
SBI 2,400,000 258.52 3.07
Eternal 9,329,208 255.25 3.03
Cholaman.Inv.&Fn 1,467,811 239.49 2.84
Bajaj Finance 2,490,321 231.56 2.75
UltraTech Cem. 179,764 228.19 2.71
Infosys 1,185,372 194.52 2.31
Bharat Electron 4,252,357 190.93 2.26
Mphasis 621,845 171.57 2.03
ICICI Bank 1,240,708 168.12 1.99
Power Fin.Corpn. 4,102,007 155.61 1.85
Wipro 6,239,256 147.81 1.75
Bharti Airtel 750,324 147.72 1.75
Shriram Finance 1,250,000 127.50 1.51
Oracle Fin.Serv. 159,937 124.11 1.47
Bharti Airtel PP 740,805 115.87 1.37
SRF 392,346 110.50 1.31
Century Plyboard 1,362,283 109.50 1.30
Bank of Baroda 3,580,644 107.20 1.27
Solar Industries 74,999 101.10 1.20
Jindal Steel 881,536 99.79 1.18
Ipca Labs. 658,702 96.88 1.15
United Spirits 703,587 95.87 1.14
Swiggy 3,103,332 96.13 1.14
M & M 271,000 93.00 1.10
Havells India 695,213 89.33 1.06
B P C L 2,351,589 85.72 1.02
Uno Minda 689,575 81.53 0.97
LG Electronics 542,503 79.35 0.94
REC Ltd 2,153,829 78.42 0.93
Nippon Life Ind. 892,176 78.34 0.93
Techno Elec.Engg 796,257 77.60 0.92
Apar Inds. 95,249 76.14 0.90
J K Cements 133,305 73.63 0.87
ICICI Lombard 402,399 73.00 0.87
Indian Bank 795,069 72.49 0.86
Sun Pharma.Inds. 450,000 71.79 0.85
ITC 2,161,764 69.64 0.83
BSE 250,000 69.93 0.83
Polycab India 98,861 69.34 0.82
P I Industries 215,195 68.76 0.82
NTPC 1,776,778 63.25 0.75
J B Chemicals & 331,642 62.00 0.74
Deepak Nitrite 346,939 56.98 0.68
Birlasoft Ltd 1,366,561 57.13 0.68
Bank of Maha 8,608,982 56.19 0.67
Tech Mahindra 318,796 55.57 0.66
Tata Capital 1,573,583 53.83 0.64
Prudent Corp. 225,000 53.93 0.64
Nuvama Wealth 394,930 53.13 0.63
Mahindra Life. 1,423,914 52.29 0.62
Vishal Mega Mart 4,125,151 51.96 0.62
Schaeffler India 135,228 48.98 0.58
MRF 3,332 44.04 0.52
Max Healthcare 456,289 43.66 0.52
Reliance Industr 289,470 40.39 0.48
Oberoi Realty 234,348 34.94 0.41
VST Till. Tract. 54,014 29.83 0.35
AP State Beverag 8,500 85.53 1.00
T S I I C L 5,900 59.81 0.71
Power Fin.Corpn. 313 31.86 0.37
S I D B I 2,550 25.67 0.30
Aditya Birla Cap 67,865 6.79 0.08
REC Ltd 8,765 48.82 0.58
GSEC2064 24,000,000 237.31 2.81
GSEC2053 15,000,000 148.96 1.77
GSEC2055 7.24 13,000,000 128.23 1.52
GSEC2054 9,500,000 91.77 1.09
GSEC2074 4,932,960 47.23 0.56
GSEC2065 4,664,790 43.63 0.52
GSEC2038 6,118,800 24.47 0.29
GSEC2034 2,000,000 20.07 0.24
GSEC2036 3,038,600 14.71 0.18
Karnataka 2032 1,000,000 9.98 0.12
GSEC2043 2,056,100 5.55 0.07
Tamil Nadu 2028 500,000 5.17 0.06
Tamil Nadu 2026 500,000 5.03 0.06
KERALA 2028 500,000 5.14 0.06
Haryana 2031 500,000 5.10 0.06
Punjab 2027 500,000 5.11 0.06
GSEC2035 483,000 4.76 0.06
GSEC2033 293,950 3.03 0.04
GSEC2039 1,027,600 3.79 0.04
GSEC2041 513,800 1.69 0.02
GSEC2042 513,800 1.57 0.02
Gujarat 2033 200,000 2.05 0.02
Andhra Pradesh 2033 150,000 1.53 0.02
Rajasthan 2033 150,000 1.53 0.02
Tamil Nadu 2033 200,000 2.01 0.02
Rajasthan 2031 100,000 0.99 0.01
Andhra Pradesh 2031 28,900 0.30 0.00
GSEC2050 125 0.00 0.00
RAJASTHAN 2026 40 0.00 0.00
TREPS 0 365.37 4.33
ICICI Securities 1,300 64.94 0.77
Birla Group 1,000 49.61 0.59
Muthoot Finance 1,000 49.91 0.59
Net CA & Others 0 2.11 0.03
Punjab Natl.Bank 10,000 99.15 1.18
I O B 2,500 24.76 0.29
Mindspace Busine 365,677 18.23 0.22
Brookfield India 220,000 7.76 0.09