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Kotak Multi Asset Allocator Fund of Fund - Dynamic -Regular Plan - Growth

NAV   30 Apr, 2024
203.71
+0.15
(+0.07%)

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Fund Profile
  • Intial Price :
  • 10.00
  • Min investment :
  • 100.00
  • Entry load :
  • 0.00
  • Exit load :
  • 1.00%
NAV Returns
  • 1 week :
  • 1.44%
  • 1 month :
  • 3.15%
  • 6 months :
  • 20.38%
  • 9 months :
  • 20.54%
  • 1 year :
  • 31.42%
Essential
Fund category
Funds of Funds
Scheme plan
Growth
Scheme type
Open Ended
Launch date
August 09, 2004
Fund manager
Mr. Devender Singhal
Fund Info
AMC
Kotak Mahindra Asset Management Company Ltd.
Objective
To generate long term capital appreciation from a portfolio created by investing predominantly in open ended diversified equity schemes of MFs registered with SEBI
Asset (Rs. Cr)
1,237 (February 29, 2024)
Other Detail
Regd.
office
27 BKC, C-27, G Block, Bandra Kurla Complex, Bandra (E),
Tel
66384444
Fax
66384455
Email
fundaccops@kotakmutual.com
Website
http://www.assetmanagement.kotak.com
For Board of Trustees Click here
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