Kotak Medium Term Fund - Standard Income Distribution cum capital withdrawal option
Category: Debt: Medium Duration
Launch Date: 21-03-2014
Asset Class: Fixed Income
Benchmark: CRISIL Medium Duration Debt A-III Index
Expense Ratio: 1.63% As on ( 31-03-2025)
Status: Open Ended Schemes
Minimum Topup: 100.0
Total Assets: 1,765.97 Cr As on ( 31-03-2025)
Turn over:
NAV as on 30-04-2025
13.8075
0 ( 0.0246% )
CAGR Since Inception
6.18%
CRISIL Medium Duration Debt A-III Index 7.57%
Performance of Kotak Medium Term Fund - Standard Income Distribution cum capital withdrawal option
Fund Managers

Deepak Agrawal, Sunit Garg, Palha Khanna

Investment Objective

The scheme seeks to generate regular income and capital appreciation by investing in a portfolio of medium term debt and money market instruments.

Returns Calculator for Kotak Medium Term Fund - Standard Income Distribution cum capital withdrawal option
Growth of 10000 In SIP (Fund vs Benchmark)
Growth of 10000 In LUMPSUM (Fund vs Benchmark)
Rolling Returns

Rolling returns are the annualized returns of the scheme taken for a specified period (rolling returns period) on every day/week/month and taken till the last day of the duration. In this chart we are showing the annualized returns over the rolling returns period on every day from the start date and comparing it with the benchmark. Rolling returns is the best measure of a fund's performance. Trailing returns have a recency bias and point to point returns are specific to the period in consideration. Rolling returns, on the other hand, measures the fund's absolute and relative performance across all timescales, without bias.

Key Performance and Risk Statistics of Kotak Medium Term Fund - Standard Income Distribution cum capital withdrawal option

Key Statistics Volatility Sharpe Ratio Alpha Beta Yield to Maturity Average Maturity
Kotak Medium Term Fund - Standard Income Distribution cum capital withdrawal option 1.55 -0.01 0.02 0.74 8.18 5.24
Debt: Medium Duration - - - - - -

PEER COMPARISION

Scheme Name Launch
Date
1-Year
Ret (%)
2-Yrs
Ret (%)
3-Yrs
Ret (%)
5-Yrs
Ret (%)
10-Yrs
Ret (%)
Kotak Medium Term Annual IDCW 21-03-2014 9.83 8.28 7.02 7.39 5.91
ABSL Medium Term Gr Reg 25-03-2009 14.56 10.36 14.26 13.74 8.67
Axis Strategic Bond Reg Gr 28-03-2012 10.13 8.47 7.68 7.43 7.62
HSBC Medium Duration Fund Reg Gr 02-02-2015 9.97 8.26 7.22 7.17 7.12
Nippon India Strategic Debt Gr 01-06-2014 9.94 7.96 6.95 8.16 3.42
DSP Bond Gr 29-04-1997 9.84 8.15 7.25 6.55 6.28
Kotak Medium Term Gr 21-03-2014 9.83 8.29 7.02 7.42 7.13
ICICI Pru Medium Term Bond Gr 15-09-2004 9.71 8.12 7.49 7.57 7.5
HDFC Medium Term Debt Gr 06-02-2002 9.68 8.05 7.12 7.08 7.29
SBI Magnum Medium Duration Reg Gr 12-11-2003 9.66 8.12 7.37 7.14 8.03

Asset Allocation (%)

PORTFOLIO ANALYSIS of Kotak Medium Term Fund - Standard Income Distribution cum capital withdrawal option

Portfolio as on

Top 10 Sectors in portfolio (%)

Top 10 Stocks in portfolio (%)

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