Kotak Multi Asset Allocation Fund (G)
- Hybrid
- Equity Savings
- Status: Closed
Historical NAV & Returns

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Kotak Multi Asset Allocation Fund (G)
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SIP Amount
Investment Duration
Estimated average annual return of 12% over 5 years.
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Fund Overview
₹NaN Cr.
₹1000
₹10000
INF174K01922
2.42(As on Aug 31, 2017)%
No Lock-in
Trailing Returns
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Risk Analysis
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Suitable for balanced investments and investors with medium risk tolerance.
About This Fund
More InformationKotak Multi Asset Allocation Fund (G) is a scheme launched by Kotak Mutual Fund on January 21, 2011, and falls under the Equity Savings fund category. It currently manages an AUM of Rs NaN crore. The fund permits investments with a minimum SIP of Rs 1000 and a lump sum of Rs 10000. It charges an expense ratio of 2.42(As on Aug 31, 2017)% for managing the portfolio.
Investing Strategy:
The investment objective of the scheme is to generate income by investing predominantly in debt and money market securities, to generate growth by taking moderate exposure to equity and equity related instruments and provide diversification by investing in Gold ETFs.
Performance:
Kotak Multi Asset Allocation Fund (G) 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
Fund Suspended: Currently this fund is not available for Investments.
Kotak Multi Asset Allocation Fund (G)


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