Kotak ESG Exclusionary Strategy Fund - Regular Plan - Payout of Income Distribution cum capital withdrawal option

Kotak Mahindra Asset Management Company Limited.

Equity SchemeSectoral/ Thematic

Current NAV

16.20

+2.59%
Rating:(0/5)

Total AUM

8.00 Cr

Domestic0.00 Cr
Overseas8.00 Cr

Expense Ratio

0.00%

Min Investment

5,000

Risk Level

Very High

Returns

1 Month

+1.22%

3 Months

+2.57%

6 Months

-8.49%

1 Year

-4.17%

3 Years

+9.45%

5 Years

+7.30%

Top Holdings

Sector Allocation

Fund Manager

FM 1 Mr. Mandar Pawar

Fund Manager

Tenure

0.0 years

Experience

0 years

Risk Metrics

Sharpe Ratio

0.00

Beta

0.00

Alpha

0.00%

Std Deviation

0.00%