Kotak Debt Hybrid Direct Growth
Add To Comparepreviously known as Kotak MIP Dir Gr until
NAV on January 02, 2026
Category
Allocation:
Conservative Allocation
Conservative Allocation
Investment StyleBox
Large Growth
Interest rate sensitivity
Credit quality
Extensive Sensitivity
High Quality
Interest rate sensitivity
Credit quality
High Quality
Total Assets
3,132 cr
Turnover Ratio
139.19%
Expense Ratio
0.48%
Exit Load
1.00%
if redeemed within
Returns
- 1M: 0.87%
- 1Y: 6.37%
- 3M: 2.25%
- 3Y: 11.53%
- 6M: 2.46%
- 5Y: 10.98%
Best Conservative Allocation Funds
| NAME | LATEST NAV |
RETURNS 1y |
FUND ASSETS |
Expense RATIO |
RISK | |
| 66.789 | 10.43% | 923 cr | 1.09% | Low | ||
| 86.224 | 8.54% | 3,375 cr | 1.0% | Low | ||
| 77.020 | 8.02% | 1,549 cr | 0.93% | Low | ||
| 15.629 | 7.80% | 3,168 cr | 0.34% | Below Average | ||
| 68.013 | 7.56% | 180 cr | 0.48% | Below Average | ||
| 69.412 | 6.37% | 3,132 cr | 0.48% | Above Average | ||
| 72.424 | 5.79% | 0 cr | 0.73% | Average | ||
Other plans of Kotak Debt Hybrid Fund
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Kotak Debt Hybrid Direct Monthly Reinvestment of Income Distribution cum Cap Wdrl
Conservative Allocation -
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Kotak Debt Hybrid Quarterly Reinvestment of Income Distribution cum Cap Wdrl
Conservative Allocation -
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