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Summary Info
Fund Name Kotak Mahindra Mutual Fund
Scheme Name Kotak Transportation & Logistics Fund - Reg (G)
AMC Kotak Mahindra Mutual Fund
Type Open
Category Equity - Auto
Launch Date 25-Nov-24
Fund Manager Nalin Rasik Bhatt
Net Assets ()Cr 542.49
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 -2.66 -8.03 -4.81 -5.75 21.81 - - 6.79
Category Avg -2.83 -6.68 -3.42 -3.22 25.57 25.17 18.33 16.76
Category Best -2.52 -3.47 1.68 4.92 31.81 27.53 19.02 24.58
Category Worst -3.19 -8.11 -4.92 -6.08 20.71 23.35 17.64 6.00
Holdings
Company Name No of Shares Market Value Hold %
Maruti Suzuki 37,800 55.18 10.17
M & M 144,000 49.42 9.11
Hero Motocorp 85,500 47.32 8.72
Interglobe Aviat 67,500 31.03 5.72
Eternal 990,000 27.09 4.99
ZF Commercial 18,000 26.98 4.97
Bajaj Auto 27,000 25.91 4.78
Adani Ports 180,000 25.56 4.71
Swiggy 810,000 25.09 4.62
Ashok Leyland 1,170,000 23.01 4.24
GE Shipping Co 162,000 19.48 3.59
Tata Motors 342,000 15.68 2.89
VST Till. Tract. 27,000 14.91 2.75
Hyundai Motor I 63,000 13.84 2.55
Tenneco Clean 251,896 13.15 2.42
Blue Dart Expres 18,000 9.89 1.82
Bosch 2,700 9.86 1.82
Sansera Enginee. 54,000 9.37 1.73
Igarashi Motors 234,000 9.34 1.72
Mahindra Logis. 247,500 8.93 1.65
Sundram Fasten. 90,000 8.57 1.58
Subros 99,000 8.01 1.48
Delhivery 180,000 7.61 1.40
Amara Raja Ener. 90,000 7.55 1.39
Carborundum Uni. 90,000 7.09 1.31
Kross Ltd 342,000 6.65 1.23
Castrol India 360,000 6.63 1.22
Schaeffler India 18,000 6.52 1.20
Apollo Tyres 120,000 5.91 1.09
Motherson Wiring 1,350,000 5.83 1.07
Container Corpn. 112,500 5.65 1.04
TREPS 0 6.30 1.16
Net CA & Others 0 -0.87 -0.14