Assets under management (AUM) is the total market value
of assets managed by the mutual fund.
9AM - 7PM
Annualized Returns
10.78%
Investment Horizon
>3 Yr
Doubled Money
6 Yrs 10 Mo
Past Portfolio Performance
For a sum of Rs.1,00,000 invested for 5 Years
Assuming 30% tax bracket
Where will your money be invested | ||
Fund | Return
(ANNUALIZED 5Yr) | Amount |
| 10.35% | 6,000 |
| 10.69% | 4,500 |
| 11.45% | 4,500 |
Amount to be Invested | 15,000 |
Where will your money be invested
Equity
28348Cr
Asset Size
Assets under management (AUM) is the total market value
of assets managed by the mutual fund.
7Yr 1Mn
Doubled
Time period this fund took to
double the invested money
13.55%
Returns
Annualized return per year since inception,
net of all fund charges
0%
Exit Load
Period after which there is
no penalty for withdrawal
The largest equity mutual fund in India, Kotak Standard Multicap has been a consistent performer in both good and not-so-good market conditions. It has beaten its benchmarks consistently over the last 5 years. Brings stability to your growth.
Equity
2359Cr
Asset Size
Assets under management (AUM) is the total market value
of assets managed by the mutual fund.
6Yr 10Mn
Doubled
Time period this fund took to
double the invested money
15.85%
Returns
Annualized return per year since inception,
net of all fund charges
0%
Exit Load
Period after which there is
no penalty for withdrawal
Equity
ANNUALISED RETURNS (5Yrs)
11.45%
Amount
4,500
13513Cr
Asset Size
Assets under management (AUM) is the total market value
of assets managed by the mutual fund.
6Yr 5Mn
Doubled
Time period this fund took to
double the invested money
18.86%
Returns
Annualized return per year since inception,
net of all fund charges
0%
Exit Load
Period after which there is
no penalty for withdrawal
flexibility for fund managers
Fund managers can pick Large & Small firms with higher growth potential
good mix of large & small
Right mix of Large & Small cap firms balancing growth and returns
attractive returns
Higher returns with lower volatility than pure Small & Mid cap portfolios
flexibility for fund managers
Fund managers can pick Large & Small firms with higher growth potential
good mix of large & small
Right mix of Large & Small cap firms balancing growth and returns
attractive returns
Higher returns with lower volatility than pure Small & Mid cap portfolios