Kotak Credit Risk Fund (IDCW-M)

  • 5 years return (%) 7.06%
  • AUM (₹) ₹1817.53 Cr
  • NAV (₹) 10.9409
  • Rating 3

Performance

1Y 3Y 5Y Max
Fund Return 6.78% 7.46% 7.06% 128.69%
Category Average 51.84% 22.09% 18.63% 23.39%
*All funds are annualized

Investment Return Calculators

I want to monthly invest
for a period of
6.78%
₹30,750

Second Panel

Comparison with other schemes

Expense Ratio AUM(₹ Cr) 3 Year
Kotak Credit Risk Fund (IDCW-M) 1.76 1817.5332 +7%
DSP Corporate Bond Fund - Regular (G) 0.5 2250.6383 +9%
LIC MF Banking & PSU Debt Fund (G) 0.83 1958.8685 +8%
Nippon India Nivesh Lakshya Fund (G) 0.52 1889.7313 +12%
AXIS Dynamic Bond Fund (G) 0.67 1872.01 +10%

Fund Risk

HIGH
Low
check your profile again

Sector

Asset Classes

Constituents

  • Telesonic Netwo.

    Automobile Sector
    Corporate Debts Instrument
    8.0% % Assets
  • Pun. & Sind Bank

    Automobile Sector
    Corporate Debts Instrument
    6.4% % Assets
  • Coastal Guj Pow

    Automobile Sector
    Corporate Debts Instrument
    6.3% % Assets
  • Bajaj Housing

    Automobile Sector
    Corporate Debts Instrument
    5.5% % Assets
  • GSEC2033

    Automobile Sector
    Govt. Securities Instrument
    4.8% % Assets

AMC Details

Kotak Mahindra Mutual Fund

  • 270615.3666 Cr

    AUM

Contact Details

27 BKC, C-27, G Block, Bandra Kurla
Complex, Bandra(E),
Mumbai - 400 051.

61152100 | 67082213
fundaccops@kotakmutual.com