Latest NAV & returns of KOTAK AMC LTD.

Kotak Debt Hybrid Direct Monthly Payout of Income Distribution cum Cap Wdrl

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previously known as Kotak Debt Hybrid Dir Mn DP until

NAV on January 20, 2025
Category Allocation:
Conservative Allocation
Investment StyleBox
Large Growth

Interest rate sensitivity
Credit quality
Extensive Sensitivity
High Quality

Total Assets 3,057 cr
Turnover Ratio 119.93%
Expense Ratio 0.45%
Exit Load 1.00%if redeemed within
6 Months
0.00%if redeemed after 6 Months
Returns
  • 1M: -0.86%
  • 1Y: 10.56%
  • 3M: -1.17%
  • 3Y: 10.55%
  • 6M: 2.33%
  • 5Y: 12.28%
Min Investment 100
ADDITIONAL INFO
Fund Manager Abhishek Bisen (Since almost 17 years) Shibani Kurian (Since 5 months)
ISIN INF174K01KA2
Fund Family Kotak
P/E Ratio 20.03
P/B Ratio 3.05
Launch Date March 18, 2013
Benchmark CRISIL Hybrid 85+15 - ConservativeTR INR
Avg. Maturity 15.07 years
Yield To Maturity (%) 7.15%
ASSET ALLOCATION
EQUITY DISTRIBUTION
CREDIT QUALITY (%)
AAA 93.47%
AA 5.64%
A 0.89%
BBB 0.00%
BB 0.00%
B 0.00%
Below B 0.00%
Unrated 0.00%
SECTOR WEIGHTINGS (%)
Financial 23.97%
Industrial 7.44%
Technology 14.73%
Basic Materials 2.47%
Consumer Cyclical 15.61%
Utilities Services 9.29%
Healthcare Services 2.81%
Energy Services 6.43%
Communication Services 5.31%
Consumer Defensive 11.43%
Real Estate 0.51%
RISK MEASURES (3 yrs)
vs CRISIL Hybrid 85+15 - ConservativeTR INR

Alpha 3.16
Beta 1.20
R-Squared 78.45
Info Ratio 1.72
Tracking Err 2.12
Sortino 1.868
Sharpe 1.063
Std Dev 4.453
Risk Above Average
INVESTMENT OBJECTIVE

The investment objective of the Scheme is to enhance returns over a portfolio of debt instruments with a moderate exposure in equity and equity related instruments. By investing in debt securities, the Scheme will aim at generating regular returns, while enhancement of return is intended through investing in equity and equity related securities. The Scheme may also use various derivative and hedging products from time to time, in the manner permitted by SEBI. There is no assurance that the investment objective of the Schemes will be realised.

This fund may declare and pay out a dividend to you on a periodic basis, but only when it has the profits to do so.

View Factsheet

Top Conservative Allocation Funds
NAME LATEST
NAV
RETURNS
1y      
FUND
ASSETS
EXPENSE
RATIO
RISK
14.556 12.09% 2,347 cr 0.35% Low
79.038 11.52% 3,173 cr 0.94% Low
64.804 11.36% 3,057 cr 0.45% Above Average
70.585 10.81% 1,411 cr 1.01% Below Average
75.457 10.08% 9,915 cr 1.05% Below Average
83.725 9.80% 3,308 cr 1.21% Average
35.189 6.55% 66 cr 1.10% High
Best Conservative Allocation Funds
NAME LATEST
NAV
RETURNS
1y    
FUND
ASSETS
Expense
RATIO
RISK
72.424 5.79% 0 cr 0.73% Average


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