Kotak Credit Risk Fund  - Monthly Dividend - Payout

Kotak Credit Risk Fund - Monthly Dividend - Payout

Historical NAV & Returns

Current NAV(16 Sept 2021)
10.94
Returns
0.00%
Benchmark Rt
0.00%
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Kotak Credit Risk Fund  - Monthly Dividend - Payout

Kotak Credit Risk Fund - Monthly Dividend - Payout
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SIP Amount

Investment Duration

Estimated average annual return of 12% over 5 years.

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Fund Overview

Fund Size:

₹706.22 Cr.

Minimum SIP:

₹1000

Minimum Lumpsum:

₹5000

ISIN:

INF174K01EC1

Fund Rating:
Expense Ratio:

1.76%

Lock In:

No Lock-in

Exit Load:
Kotak Credit Risk Fund - IDCW - Monthly charges 1.0% of sell value; if fund sold before 365 days. There are no other charges.
Period1W1M3M6M
This Fund----
Category Average0.13%0.72%1.78%3.83%
Benchmark Returns----
Risk Meter
HIGH RISK

Suitable for aggressive investments and investors with high-risk tolerance.

About This Fund

More Information

Kotak Credit Risk Fund - Monthly Dividend - Payout is a scheme launched by Kotak Mutual Fund on May 11, 2010, and falls under the Credit Risk fund category. It currently manages an AUM of Rs 706.22 crore. The fund permits investments with a minimum SIP of Rs 1000 and a lump sum of Rs 5000. It charges an expense ratio of 1.76% for managing the portfolio.

  • Investing Strategy:

    The investment objective of the scheme is to generate income by investing in debt /and money market securities across the yield curve and predominantly in AA rated and below corporate securities. The scheme would also seek to maintain reasonable liquidity within the fund.

  • Performance:

    Kotak Credit Risk Fund - Monthly Dividend - Payout trailing returns over different times are NA% (1 year), NA% (3 year) and NA% (5 year). The average annual return of this fund stands at NA%.

SIP Amount

Monthly SIP Date

Kotak Credit Risk Fund - Monthly Dividend - Payout

Suitabilty Test For Finding this Fund is Suitable or Not for User.Suitabilty Test For Finding this Fund is Suitable or Not for User.
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Frequently Asked Questions

Everything You Need To Know To Get Started With Confidence

Net asset value is the per unit price of the mutual fund. The NAV of funds changes every day. The latest NAV of Kotak Credit Risk Fund - Monthly Dividend - Payout as on 2021-09-16 is 10.9409.