Kotak Credit Risk Fund - Growth has delivered CAGR and average rolling returns as follows :
| 1 Year | 3 Year | 5 Year | 9 Year | |
| CAGR(%) | 5.61 | 7.15 | 5.57 | 6.15 |
| Average Rolling Returns(%) | 7.14 | 6.96 | 7.24 | 7.47 |
The Current NAV of Kotak Credit Risk Fund - Growth is ₹31.43.
It is better to invest in a fund with a longer track record as Kotak Credit Risk Fund - Growth cannot be assessed for consistency of out-performance. Funds returns are more likely to be different than its benchmark NIFTY 500 returns, as Funds portfolio is significantly different.
Kotak Credit Risk Fund - Growth fund’s expense ratio is N/A
The process for redemption is
The AUM of Kotak Credit Risk Fund - Growth is currently ₹761 Crores.
The Top three stocks are , and and account for 0% of its portfolio. Top 5 and 10 stocks of fund account for 0% and 0% of fund’s portfolio respectively.
Top three sectors of Kotak Credit Risk Fund - Growth fund are Others, BFSI and Miscellaneous accounting for 100% of the total portfolio.
Funds Portfolio Quality is Very Good. It has a large proportion of Green Stocks.Since this is a Debt - Credit Risk Fund it is comparatively safer to invest in this fund. However, since it has not consistently outperformed its benchmark index on an average 3-year rolling returns basis it is not the most suitable fund for SIP.
The category of Kotak Credit Risk Fund - Growth Fund is Debt - Credit Risk Fund.
Vihag Mishra and Deepak Agrawal manage the Kotak Credit Risk Fund - Growth Fund.
Kotak Credit Risk Fund - Growth current PE ratio is 0.00 and PB ratio is 0.00
The asset allocation of Kotak Credit Risk Fund - Growth is Stocks : 0%, Debt : 91.24% and Gold : 9.29%
The minimum SIP amount for Kotak Credit Risk Fund - Growth is ₹100.00 and minimum lumpsum is ₹100.00
The exit load for Kotak Credit Risk Fund - Growth is Nil upto 6% of investment and 1% for remaining investment on or before 1 year, Nil after 1 year
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