Returns Performance
Historical returns comparison
1 Year0.0%
3 Years0.0%
5 Years0.0%
Fund House
Kotak Mahindra
Category
Flexi Cap
Equity
AUM
₹389 Cr
Assets Under Management
Expense Ratio
0.58%
Annual fee
Risk Assessment
Understand the risk profile
Risk LevelHigh
LowModerateHighVery High
This fund has high volatility and is suitable for investors with higher risk appetite. Best for long-term wealth creation with 5+ year horizon.
Fund Details
Complete fund information
CategoryEquity
Sub-categoryFlexi Cap
AMCKotak Mahindra
NAV₹67.45
AUM₹389 Cr
Expense Ratio0.58%
Min SIP₹500
Min Lumpsum₹5,000
Minimum SIP Amount
₹500
per month
Rupee cost averaging benefit
Disciplined monthly investment
Flexible amount changes
Quick Stats
Rating
RiskHigh
1Y Return19.8%
3Y Return16.5%
5Y Return15.2%
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