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Kotak Midcap Fund

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How hot is this fund?  © Rediff.com

NAV (Rs)   20.91  23 Nov, 2009
Initial Price10
Min investmentRs 5000
Entry load Nil
Exit load1 %
  * Computed on last 15 days' trading figures.

NAV returns

DurationPercentage
1 week 0.82
1 month 1.95
6 months 35.05
9 months 105.42
1 year 98.92

Profile

Essentials 
Fund categoryEquity - Diversified
Scheme planGrowth
Scheme typeOpen Ended
Launch dateFebruary 24, 2005
Fund managerMr. Krishna Sanghvi
Fund info 
AMCKotak Mahindra Asset Management Company Ltd.
ObjectiveThe investment objective of the Scheme is to generate capital appreciation from a diversified portfolio of equity and equity related securities.
Asset (Rs crore) 119.26 ( August 31, 2009)
Dividend (%) 40.00 ( April 28, 2006)

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Other details

Registered office5A, 5th Floor Bakhtawar 229 Nariman Point¸ Mumbai¸ Maharashtra - 400021
Tel66384444
Fax66384455
Board of trusteesClick here

Top 10 holdings

CompanyPercentage
Hind. Petrol3.56
Aban Offshore Ltd.3.42
Lanco Infratech Ltd.3.34
Apollo Tyres3.2
Punj Lloyd3.05
Asian Paints Ltd.2.71
GlaxoSmithKlineConsu2.63
Shriram Trans.Fi2.59
Crompton Greaves2.38
JaiprakashAssociates2.38

Top 10 industry allocation

CompanyPercentage
Construction & Contracting - Civil8.0
Finance - Banks - Public Sector7.0
Pharmaceuticals6.0
Finance - Banks - Private Sector5.0
Computers - Software5.0
Diversified4.0
Food Processing - Dairy4.0
Engineering - General4.0
Refineries4.0
Infrastructure - General3.0