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NIFTY 23071.80 -1.3        NIFTYIT 41968.30 -1.5        NIFTYJR 60827.80 -2.5        NIFTYDEFTY 3624.45 0.0        BANKNIFTY 49403.40 -1.2        NIFTYMIDCAP 50887.95 -3.0        NIFTY500 20950.45 -2.0        MIDCAP50 14253.60 -2.9        NIFTY100 23530.80 -1.5        NIFTYFMCG 53794.25 -1.9        NIFTYMNC 26298.05 -1.7        NIFTYSERVICE 30506.65 -1.3        NIFTYENERGY 31436.75 -2.1        NIFTYPHARMA 21249.50 -1.9        NIFTYINFRAST 8029.85 -1.7        NIFTYREALTY 863.00 -3.1        NIFTYPSUBANK 6001.70 -2.2        INDIA VIX 14.87 2.9        NIFTYSMALL 16074.35 -3.5        NIFTYPSE 8500.90 -2.7        NIFTYCONSUMP 10858.70 -2.0        NIFTYAUTO 22573.90 -2.3        NIFTYMETAL 8213.55 -1.7        NIFTY200 12712.75 -1.8        NIFTYMEDIA 1537.95 -2.9        NIFTYCDTY 7808.20 -1.6        NIFTYFINANCE 23089.60 -1.3        NIFTYDIVOPPT 5857.05 -2.1        NIFTYDIV 274.23 0.0        NIFTYALPHA 46149.15 -3.4        NIFTYHIGHBETA 3218.75 -2.8        NIFTYLOWVOL 23249.35 -1.6        LIQ15 6239.80 -1.5        SHARIAHNIF 4751.25 -1.6        SHARIAH500 6759.65 -2.2        NIFTYCPSE 5565.60 -2.3        NI15 11541.25 -1.5        LIX 15 MIDCAP 12855.60 -2.8        NIFTYV20 12813.25 -1.2        NSEQ30 5346.80 -1.8        NIFTYTR2X 17839.60 -2.7        NIFTYPR2X 12177.65 -2.7        NIFTYTR1X 180.40 1.4        NIFTYPR1X 218.15 1.4        NIFTYPTBNK 24568.40 -1.2        NIFTYMIDCAP150 18837.00 -2.9        NIFTYSMALLCAP250 15156.95 -3.4        NIFTYSMALLCAP50 7746.20 -3.5        NIFTYMIDSMALL400 17529.50 -3.1        NIFTY100WEIGHT 29499.70 -1.9        NIFTY8-13 YR GSEC 2797.77 0.1        NIFTY 10 YR BMGSEC 2475.61 0.1        NIFTY 10YRBMSECCP 894.09 0.1        NIFTY 4-8 YR GESC 3018.11 0.1        NIFTY 11-15 YR GSEC 3088.91 0.1        NIFTY15YRABOVEGSEC 3399.82 0.1        SHARIAH25 8029.45 -2.1        NIFTYTATA25 14982.50 -2.0        NIFTYEQWGT 28723.30 -1.6        NT100LOW30 18808.65 -1.6        NFTALLO30 25497.20 -1.7        NFTQTLO30 16406.55 -1.7        NFTALQLV30 19207.70 -1.9        NFTALQVL30 21122.15 -1.7        NIFTYLGEMID250 14546.90 -2.2        NIFTY200QLTY30 19535.65 -2.0        NIFTYGSCOMP 2891.25 0.1        NIFTY500VAL50 12476.50 -2.4        NIFTY100ESG 4518.70 -1.7        NIFTY100ENHESG 4554.45 -1.7        NT100ALP30 16458.10 -2.1        NMID150Q50 21846.25 -2.6        NCONSDUR 36715.10 -2.3        NOILGAS 10117.75 -1.9        NTYFIN2550 24567.95 -1.8        NFTY200MOM30 28908.70 -2.4        Ny500MUL50:25:25 14471.75 -2.3        NIFTY100ESGSECT 3809.05 -1.5        NIFTYHEALTH 13562.05 -2.5        NIFTYMICRO250 21565.85 -3.6        NIFTYMFG 12894.90 -2.2        NIFTYMIDSELECT 11471.45 -2.7        NIFTYNONCYCLIC 14863.95 -1.8        NIFTYTOTALMCAP 11791.45 -2.0        NIFTYMOBILITY 18512.75 -2.5        NIFTYDIGITAL 8866.05 -2.6        NFTFINSEREXBNK 24498.05 -3.2        NIFTYHOUSING 10225.15 -1.7        NIFTYTRANSLOG 20966.05 -2.6        NIFTYINDEFENCE 5686.55 -3.5        NT200ALP30 22389.65 -2.8        NFTMIDSMLFINSER 14490.45 -3.8        NFTMIDSMLHEALTH 39376.00 -3.3        NFTMIDSMLITTELECOM 9963.20 -3.1        NFT150MOM50 54642.45 -3.4        NFTMIDSMLINCONS 17841.75 -2.9        NIFTYCOREHSG 14775.05 -2.1        NFTSMLCAP250Q50 24546.00 -2.9        NFTSML250MOMQ100 42167.05 -3.4        Ny500MUL50:30:20 13693.80 -2.4    <>    

 
 
 
Mutual Funds
Scheme Name
 
Category
 
Asset Size
(Rsin.Cr)
Asset Date
 
  NAV
(Rs)
  NAV
Date
Fund Manager
 
Kotak Balanced Advantage Fund(G)-Direct Plan Hybrid - Balanced Advantage 16649 31-Jan-25   20.94 10-Feb-25 Rohit Tandon
Hiten Shah
Kotak Balanced Advantage Fund(IDCW)-Direct Plan Hybrid - Balanced Advantage 16649 31-Jan-25   20.94 10-Feb-25 Rohit Tandon
Hiten Shah
Kotak Balanced Advantage Fund-Reg(G) Hybrid - Balanced Advantage 16649 31-Jan-25   19.39 10-Feb-25 Rohit Tandon
Hiten Shah
Kotak Balanced Advantage Fund-Reg(IDCW) Hybrid - Balanced Advantage 16649 31-Jan-25   19.39 10-Feb-25 Rohit Tandon
Hiten Shah
Kotak Banking & Financial Services Fund(G)-Direct Plan Equity - Sectoral Fund - Banks & Financial Services 1027 31-Jan-25   14.03 10-Feb-25 Shibani Kurian
Abhishek Bisen
NFO
Scheme
 
Fund House
 
Open
Date
Close
Date
Offer
Price
Category
 
Min.Investment
(Rs. .in Cr)
Kotak MSCI India ETF Kotak Mahindra Mutual Fund   29-Jan-25   12-Feb-25   10.00   ETFs - Index 5000  
Kotak CRISIL-IBX AAA Bond Financial Services Index - Dec 2026 Fund-Reg(G) Kotak Mahindra Mutual Fund   31-Jan-25   13-Feb-25   10.00   Debt - Corporate Bond Fund 100  
Kotak CRISIL-IBX AAA Bond Financial Services Index - Dec 2026 Fund(G)-Direct Plan Kotak Mahindra Mutual Fund   31-Jan-25   13-Feb-25   10.00   Debt - Corporate Bond Fund 100  
Kotak Nifty 100 Equal Weight ETF Kotak Mahindra Mutual Fund   03-Feb-25   17-Feb-25   10.00   ETFs - Index 5000  
Scheme Details
  
TotalSchemes93
TotalSchemeWithOptions445
Equity - Sectoral Fund - Banks & Financial Services1
Equity - Sectoral Fund - Technology1
Index Funds - Nifty1
Equity - ELSS1
Equity - Sectoral Fund - Consumption1
Equity - Sectoral Fund - Pharma & Health Care1
Hybrid - Aggressive Hybrid Fund1
Hybrid - Conservative Hybrid Fund1
Debt - Short Duration Fund1
Debt - Ultra Short Duration Fund1
Debt - Long Duration Fund1
Hybrid - Arbitrage Fund1
Fixed Maturity Plans6
Debt - Liquid Fund1
ETFs - Gold1
Debt - Floater Fund1
Equity - Large Cap Fund1
Equity - Mid Cap Fund1
Equity - Small cap Fund1
Equity - Contra Fund1
Equity - Thematic Fund - MNC1
FoFs (Overseas)4
Equity - Sectoral Fund - Infrastructure 1
ETFs - Index11
FoFs (Domestic) - Debt Oriented1
Debt - Medium Duration Fund1
Debt - Gilt Fund4
Equity - Multi Cap Fund1
FoFs (Domestic / Overseas ) - Gold1
Hybrid - Multi Asset Allocation1
Hybrid - Equity Savings1
Equity - Large & Mid Cap Fund1
Equity - Focused Fund1
Equity - Thematic Fund - Other7
Debt - Overnight Fund1
Debt - Low Duration Fund1
Debt - Money Market Fund1
Debt - Medium to Long Duration Fund1
Debt - Dynamic Bond1
Debt - Corporate Bond Fund6
Debt - Credit Risk Fund1
Debt - Banking and PSU Fund1
Hybrid - Balanced Advantage1
Index Funds - Nifty Next 501
Index Funds - Other12
ETFs - Debt1
Equity - Flexi Cap Fund1
FoFs (Domestic) - Hybrid1
FoFs (Domestic) - Silver1
ETFs - Silver1
Incorporation On
Aug 05,1994
Total Assets Under Management
492719.49   (Rs. Cr)
Type
Pvt. Sector - Indian
Address
27 BKC, C-27, G Block,Bandra Kurla Complex, Bandra (E),Mumbai - 400 051
Tel.No.
+91 (22) 66384400
Fax
+91 (22) 66384455
E-mail
mutual@kotak.com
Website
https://www.kotakmf.com/
Registrar
Computer Age Management Services Limited, KFin Technologies Limited
Key Personnel
Chief Operations Officer
Mr. R. Krishnan
Compliance Officer
Ms. Jolly Bhatt
Founder and Director
Mr. Uday S. Kotak
Director
Mr. Gaurang Shah
Group President & Managing Director
Mr. Nilesh Shah
Chief Risk Officer
Mr. Hariharan R
CISO and Head IT
Mr. Ananth Subramanian
Head Of Human Resource Department
Mr. Govindprasad Gaonkar
Director
Mr. Krishnakumar Natarajan
National Head Sales & Distribution
Mr. Manish Mehta
Director
Mr. Sanjiv Malhotra
Director
Ms. Anjali Bansal
Non-Executive Director
Mr. Jaideep Hansraj
Director
Mr. Laxminarayan Rangarajan