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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 7,853.42
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 1.70 2.35 4.30 14.95 2.92 15.61 19.27 12.54
Category Avg 1.35 2.37 3.03 11.70 2.78 14.40 16.53 12.79
Category Best 2.95 6.11 10.35 20.86 16.05 24.03 27.31 36.52
Category Worst 0.21 0.73 -0.20 5.49 -9.10 6.30 8.03 2.20
Holdings
Company Name No of Shares Market Value Hold %
HDFC Bank 3,441,624 327.50 4.17
Eternal Ltd 9,329,208 292.89 3.73
Fortis Health. 2,988,167 272.37 3.47
UltraTech Cem. 179,764 227.22 2.89
Bajaj Finance 2,350,000 206.29 2.63
GE Vernova T&D 717,501 199.41 2.54
Infosys 1,289,800 189.55 2.41
NTPC 5,353,000 175.34 2.23
SBI 2,100,000 168.53 2.15
Bharat Electron 4,252,357 157.08 2.00
Cholaman.Inv.&Fn 1,101,613 156.51 1.99
Wipro 6,239,256 155.61 1.98
Power Fin.Corpn. 4,102,007 155.75 1.98
Bharti Airtel 750,324 141.72 1.80
Oracle Fin.Serv. 159,937 132.64 1.69
Techno Elec.Engg 796,257 120.45 1.53
SRF 392,346 111.29 1.42
ICICI Bank 790,708 110.53 1.41
Havells India 695,213 106.06 1.35
Solar Industries 74,999 103.46 1.32
Mphasis 369,883 103.12 1.31
B P C L 3,286,400 101.29 1.29
Century Plyboard 1,362,283 101.68 1.29
TCS 318,987 98.40 1.25
Uno Minda 747,055 95.55 1.22
J K Cements 133,305 92.60 1.18
Bharti Airtel PP 640,805 92.59 1.18
United Spirits 703,587 92.24 1.17
Ipca Labs. 658,702 91.19 1.16
ITC 2,161,764 88.58 1.13
Sun Pharma.Inds. 550,000 87.70 1.12
M & M 271,000 86.71 1.10
Jindal Steel 881,536 83.38 1.06
Polycab India 116,500 82.61 1.05
P I Industries 215,195 79.51 1.01
REC Ltd 2,153,829 75.38 0.96
ICICI Lombard 402,399 74.03 0.94
Apar Inds. 95,249 73.65 0.94
Swiggy 1,770,000 72.53 0.92
Prudent Corp. 225,000 63.07 0.80
Deepak Nitrite 346,939 62.03 0.79
Shriram Finance 1,050,000 60.93 0.78
Vishal Mega Mart 4,125,151 61.63 0.78
Emami 1,051,584 60.32 0.77
J B Chemicals & 331,642 57.19 0.73
Schaeffler India 135,228 52.30 0.67
Max Healthcare 456,289 52.67 0.67
Nuvama Wealth 78,986 50.42 0.64
Birlasoft Ltd 1,366,561 50.30 0.64
Mahindra Life. 1,423,914 49.83 0.63
Tech Mahindra 318,796 47.23 0.60
Indian Bank 695,069 45.40 0.58
Oil India 1,107,074 43.21 0.55
Reliance Industr 289,470 39.29 0.50
Oberoi Realty 234,348 37.75 0.48
VST Till. Tract. 54,014 28.57 0.36
T S I I C L 6,400 64.79 0.82
Power Fin.Corpn. 313 32.25 0.41
S I D B I 2,500 25.41 0.32
Aditya Birla Cap 67,865 6.85 0.09
Larsen & Toubro 500 4.99 0.06
REC Ltd 8,765 49.05 0.62
GSEC2064 32,799,600 325.51 4.14
GSEC2053 25,916,150 258.46 3.29
GSEC2065 19,334,790 181.43 2.31
GSEC2040 6.68 15,000,000 145.77 1.86
GSEC2054 14,000,000 136.20 1.73
GSEC2074 11,250,000 108.45 1.38
GSEC2034 5,500,000 55.42 0.71
GSEC2063 4,000,000 39.30 0.50
GSEC2038 6,118,800 24.20 0.31
GSEC2036 3,038,600 14.34 0.18
Karnataka 2032 1,000,000 10.08 0.13
Tamil Nadu 2028 500,000 5.18 0.07
KERALA 2028 500,000 5.15 0.07
Haryana 2031 500,000 5.13 0.07
Punjab 2027 500,000 5.14 0.07
GSEC2043 2,056,100 5.57 0.07
GSEC2033 483,000 4.98 0.06
Tamil Nadu 2026 8.01 500,000 5.07 0.06
GSEC2039 1,027,600 3.74 0.05
GSEC2033 293,950 3.04 0.04
Gujarat 2033 200,000 2.06 0.03
Tamil Nadu 2033 200,000 2.03 0.03
Andhra Pradesh 2033 150,000 1.54 0.02
Rajasthan 2033 150,000 1.55 0.02
GSEC2042 513,800 1.57 0.02
GSEC2041 513,800 1.68 0.02
GSEC2025 100,000 0.98 0.01
GSEC2027 50,000 0.46 0.01
GSEC2026 100,000 0.95 0.01
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 0 343.10 4.37
Net CA & Others 0 -96.83 -1.20
Mindspace Busine 365,677 15.47 0.20
Brookfield India 220,000 7.03 0.09