Nifty 17310.4 (1.17%)
Sensex 57862.09 (1.02%)
Nifty Bank 38206.1 (0.59%)
Nifty IT 34242.05 (2.29%)
Nifty Financial Services 17962 (1.12%)
Adani Ports 729.00 (2.81%)
Asian Paints 3156.05 (1.25%)
Axis Bank 779.30 (0.70%)
B P C L 391.40 (2.41%)
Bajaj Auto 3537.00 (1.03%)
Bajaj Finance 6993.00 (2.28%)
Bajaj Finserv 15670.00 (2.02%)
Bharti Airtel 718.00 (1.52%)
Britannia Inds. 3570.95 (2.20%)
Cipla 937.70 (1.09%)
Coal India 163.00 (1.53%)
Divis Lab. 4043.35 (2.63%)
Dr Reddys Labs 4326.65 (1.65%)
Eicher Motors 2726.30 (3.12%)
Grasim Inds 1717.35 (1.80%)
H D F C 2536.50 (1.32%)
HCL Technologies 1089.45 (1.09%)
HDFC Bank 1476.55 (0.11%)
HDFC Life Insur. 629.85 (1.34%)
Hero Motocorp 2721.00 (0.22%)
Hind. Unilever 2300.35 (0.22%)
Hindalco Inds. 499.70 (2.16%)
I O C L 126.45 (3.06%)
ICICI Bank 798.90 (0.53%)
IndusInd Bank 910.50 (2.52%)
Infosys 1705.50 (1.60%)
ITC 218.55 (1.84%)
JSW Steel 636.60 (1.68%)
Kotak Mah. Bank 1912.50 (1.23%)
Larsen & Toubro 1921.65 (0.57%)
M & M 887.95 (3.48%)
Maruti Suzuki 8718.00 (-1.16%)
Nestle India 18508.45 (0.67%)
NTPC 140.25 (3.89%)
O N G C 173.30 (4.59%)
Power Grid Corpn 213.10 (-0.81%)
Reliance Industr 2345.40 (0.31%)
SBI Life Insuran 1234.75 (1.91%)
Shree Cement 24369.95 (1.70%)
St Bk of India 528.00 (-0.18%)
Sun Pharma.Inds. 833.05 (2.58%)
Tata Consumer 724.60 (2.64%)
Tata Motors 503.65 (1.87%)
Tata Steel 1110.60 (2.04%)
TCS 3711.80 (1.71%)
Tech Mahindra 1458.15 (0.87%)
Titan Company 2342.75 (1.42%)
UltraTech Cem. 7206.00 (1.48%)
UPL 786.05 (1.83%)
Wipro 555.45 (1.96%)

Kotak Emerging Equity Fund (G)

  • 5 years return (%) 17.20%
  • AUM (₹) ₹17529.48 Cr
  • NAV (₹) 70.211
  • Rating 4

Performance

1Y 3Y 5Y Max
Fund Return 39.30% 24.99% 17.20% 21.29%
Category Average 40.87% 24.11% 17.70% 22.39%
*All funds are annualized

Investment Return Calculators

I want to monthly invest
for a period of
39.30%
₹30,750

Second Panel

Comparison with other schemes

Expense Ratio AUM(₹ Cr) 3 Year
Kotak Emerging Equity Fund (G) 1.77 17529.4773 +25%
Aditya Birla SL Frontline Equity Fund (G) 1.75 21840.8485 +17%
HDFC Top 100 Fund (G) 1.78 20965.6617 +14%
AXIS Focused 25 Fund (G) 1.77 20426.8805 +19%
Parag Parikh Flexi Cap Fund (G) 1.8 19933.0919 +28%

Fund Risk

HIGH
Low
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Sector

Asset Classes

Constituents

  • Persistent Sys

    Automobile Sector
    Equity Instrument
    4.9% % Assets
  • Supreme Inds.

    Automobile Sector
    Equity Instrument
    4.9% % Assets
  • TREPS

    Automobile Sector
    Reverse Repo Instrument
    4.5% % Assets
  • Schaeffler India

    Automobile Sector
    Equity Instrument
    4.0% % Assets
  • Thermax

    Automobile Sector
    Equity Instrument
    3.2% % Assets

AMC Details

Kotak Mahindra Mutual Fund

  • 286883.4215 Cr

    AUM

Contact Details

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

61152100 | 67082213
fundaccops@kotakmutual.com