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Asset Size:29551Cr
Expense Ratio:1.69%
Fund Manager(s):Harsha Upadhyaya,
5year Returns:9.06%

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Kotak Standard Multicap Growth

Kotak       

Equity
Multi-Cap

Nav : 36.312 ( 0.01%) October 23rd, 2020

People currently viewing this : 1

Rank (of 245)

20

Annualized Returns(5 yrs)

9.06%

Investment Horizon

>5 Yr

Doubled Money

8yrs 0m

Returns since September 11th, 2009

12.3%

Min Investment ₹500

Amount Invested

57.2L

Projected Wealth Gained

46.8L

Projected Maturity Amount

1Cr

Kotak     

Equity
Multi-Cap

Nav : 36.312 ( 0.01%) October 23rd, 2020

People currently viewing this : 1

Upwardly's Take :

This fund can give the fund managers flexibility to invest in the companies of their likings irrespective of size of the company and can therefore generate much higher returns. Invest in this fund for an investment horizon of at least 5 years for the investments to give best results.

Ideal for long term goals like retirement, kids' education. Don't look at returns of these funds in the short-term.

Min Investment ₹500

Amount Invested

57.2L

Projected Wealth Gained

46.8L

Projected Maturity Amount

1Cr

Rank (of 245)

20

Annualized Returns(5 yrs)

9.06%

Investment Horizon

>5 Yr

Doubled Money

8yrs 0m

Returns since September 11th, 2009

12.3%

FUND PAST PERFORMANCE

Fund's historical return with Fixed Deposit



Invested for

3m
6m
1y
3y
5y

3 and 6 Months returns are absolute

Assuming 30% tax bracket

FUND MULTIPLIER

Time it would have taken to make your money double (2x), quadruple (4x) and quintuple (5x)

Time Take To Multiply

2x
4x
5x

TOP 5 HOLDING INVESTED IN

TOP 5 SECTORS INVESTED IN

FUND DETAIL INFORMATION

The investment objective of the scheme is to generate long-term capital appreciation from a portfolio of equity and equity related securities,generally focused on a few selected sectors. However,there is no assurance that the objective of the scheme will be realized.

Basic Details
Fund House
Kotak
Launch Date
September 11th, 2009
Expense Ratio
1.69%
Fund Category Risk
High
Std Dev (1Yr)
31.095
Std Dev (3Yr)
20.726
Std Dev (5Yr)
18.378
Asset Size
29551Cr
Investment Details
Investment Plan
Growth
Return since Launch
12.3 %
Exit Load
1% if withdrawn within 1 Year(s)
No exit load if withdrawn after 1 Year(s)
Contact Details
Fund Manager(s)
Phone No.
+91 22 66384444