Kotak Credit Risk Fund - Growth

Kotak Credit Risk Fund - Growth - Portfolio Analysis

Portfolio Overview

Asset Allocation

Others: 93.92%Equity: 6.08%

Market Cap

Other: 4.06%Cash And Equivalents: 4.43%Government: 11.97% Corporate Bond: 69.77%Government Related: 3.68%

Number of stocks

36

Top 10 Holdings

66.73% of portfolio

Market Cap of Others

Other
4.06%
Cash And Equivalents
4.43%
Government
11.97%
Corporate Bond
69.77%
Government Related
3.68%

Companies Allocation of Others

7.18% Govt Stock 20339.00%
TATA Projects Limited8.66%
Jubilant Bevco Limited7.55%
Vedanta Limited7.34%
Bamboo Hotel And Global Centre (Delhi) Private Limited7.32%
Aditya Birla Real Estate Limited6.97%
Aadhar Housing Finance Limited5.90%
Aditya Birla Renewables Limited5.89%
Au Small Finance Bank Limited4.41%
National Bank For Agriculture And Rural Development3.68%

Sector Allocation of Others

Other4.06%
Cash And Equivalents4.43%
Government11.97%
Corporate Bond69.77%
Government Related3.68%

SIP Amount

Monthly SIP Date

Kotak Credit Risk Fund - Growth

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Frequently Asked Questions

Everything You Need To Know To Get Started With Confidence

In mutual funds, "market cap allocation" means how assets of the fund are divided among various market capitalizations, which are based on the total market value of the outstanding shares of stock of a company. Market capitalization falls into three major categories: Large-cap, Mid-cap, Small-cap funds.