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Kotak Debt Hybrid Fund Direct Growth

Aggregate Rating: 4/5
Hybrid Conservative Hybrid
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Overview

Kotak Debt Hybrid Fund Direct Growth

Kotak Mahindra Mutual Fund

The Scheme seeks to enhance returns over a portfolio of debt instruments with a moderate exposure in equity and equity related instruments. By investing in debt securities, the Scheme will aim at generating regular returns, while enhancement of return is intended through investing in equity and equity related securities.

Investments in Kotak Debt Hybrid Fund Direct Growth are subject to market risks. Please read the offer document carefully before investing to understand the potential market risks and rewards.

Latest NAV

₹ 66.6906

Fund Size (AUM)

₹3017.08 Cr

Risk

Moderately High (Risk rating: 4/10)

Minimum Investment

Lumpsum: ₹ 100

SIP: ₹100

Launch Date

01-Jan-2013

Expense Ratio

0.45%

Exit Load

Exit load for units in excess of 8% of the investment,1% will be charged for redemption within 6 months.

Benchmark

CRISIL Hybrid 85+15 Conservative Index

Standard Deviation

4.87

History

Performance & Ratios

1-Year SIP Return

6.03%

3-Year SIP Return

11.85%

5-Year SIP Return

11.97%

Mean Return

6.89%

Alpha

2.43

Beta

1.12

Sharpe Ratio

0.95

Sortino Ratio

1.53

Information Ratio

1.66

Returns
1Y 3Y 5Y All Time
Fund Returns 12.14% 12.0% 14.09% 10.77%
Category Average 9.72% 8.93% 10.18% N/A
Rank Within Category 6 3 2 N/A

Holdings (103)

Company Sector Instrument Assets
GOI Sovereign GOI Sec 15.79%
GOI Sovereign GOI Sec 13.85%
GOI Sovereign GOI Sec 6.8%
GOI Sovereign GOI Sec 5.38%
GOI Sovereign GOI Sec 5.25%
Bharti Telecom Ltd. Communication Debenture 4.18%
Telangana State Industrial Infrastructure Corporation Ltd. Others Debenture 2.02%
GOI Sovereign GOI Sec 1.96%
GOI Sovereign GOI Sec 1.91%
National Bank For Agriculture & Rural Development Financial Bonds 1.66%

Holdings Analysis

Peer Comparison

Peer Comparison

Fund Name AUM (₹ Cr) 1Y Return (%) 3Y Return (%) Expense Ratio (%) Rating
Kotak Debt Hybrid Fund Direct Growth 3017.08 12.14 12.0 0.45 N/A
Parag Parikh Conservative Hybrid Fund Direct Growth 2451.46 11.34 11.75 0.35 N/A
HDFC Hybrid Debt Fund Direct Growth 3309.97 10.55 11.22 1.15 N/A
ICICI Prudential Regular Savings Fund Direct Growth 3127.42 10.92 10.56 0.97 N/A
SBI Conservative Hybrid Fund Direct Growth 9666.02 10.32 10.31 1.05 N/A

SIP, STP & SWP Details

Systematic Investment Plan (SIP):

Frequency: Monthly

Min Amount: ₹ 100

Multiplier: 1

Systematic Transfer Plan (STP):

Frequency: MONTHLY

Dates: Any day of the month

Min Amount: ₹ 1000

Min Installments: 6

Systematic Withdrawal Plan (SWP):

Frequency: MONTHLY

Dates: Any day of the month

Min Amount: ₹ 1000

Min Installments: 6

AMC Details

Asset Management Company

Kotak Mahindra Mutual Fund

Kotak Mahindra Mutual Fund started their mutual fund on 23/06/1998 and its managing total assets of ₹1,10,832 Cr. Its ranked at 7 as per total assets at end of 30th Sep 2017. Kotak Mahindra Mutual Fund employs robust strategies to manage market risks, but investments remain subject to market risks. Please read the fund’s documentation for detailed risk management policies.

Kotak Group is India's first NBFC. It has about 80 branches that offer mutual fund services. It also has overseas branches in Abu Dhabi, Dubai, London, New York, Texas, California and Singapore.

Kotak Group has a market capitalization of USD 26.98 Bn and around 46,000+ employees working under it. The asset management company offers various funds across different market capitalization for investors with varying risk appetite and ideal investment duration.

The vision of Kotak mutual funds is to be an ethical market player in the Indian mutual fund industry and it strives to offer the best products to its investors. Kotak has a legacy of many years and therefore, its brand value helps its products to stand-out in the market. The AMC has garnered over 10 lakh customers, within the span of 12 years.

Launch Date

1994-08-05T00:00:00.550Z

Total AUM

₹ 473887.31 Cr

Address

The Capital Building, Behind ICICI Bank, G Block BKC, Bandra Kurla ComplexBandra (E) Mumbai 400051

Phone

022-61152100 / 1800-22-2626

Sub Type

Gilt

Sub Type Info

Invest predominantly in Government Securities(minimum 80% of total assets). They are relatively more risky than the other debt funds due to fluctuating interest rates.

Tax Impact

Returns are taxed as per your Income Tax slab.

Stamp Duty

0.005% (from July 1st, 2020)

Fund Manager Details

Compare with Another Fund

Kotak Debt Hybrid Fund Direct Growth

Kotak Mahindra Mutual Fund

Frequently Asked Questions

How is the overall rating calculated?

The overall rating for Kotak Debt Hybrid Fund Direct Growth is an aggregate score based on performance metrics (returns over 1, 3, and 5 years), risk-adjusted returns (Sharpe and Sortino ratios), and consistency relative to its category. Ratings are on a scale of 1 to 5, with 5 being the highest.

What are the top stocks of Kotak Debt Hybrid Fund Direct Growth?

The top stocks held by Kotak Debt Hybrid Fund Direct Growth include GOI, GOI, GOI.

Which industries does Kotak Debt Hybrid Fund Direct Growth invest in?

Kotak Debt Hybrid Fund Direct Growth primarily invests in the following industries: Sovereign, Communication, Others.

Who is the fund manager of Kotak Debt Hybrid Fund Direct Growth?

The fund manager of Kotak Debt Hybrid Fund Direct Growth is Shibani Sircar Kurian.

How many years has the fund manager been managing Kotak Debt Hybrid Fund Direct Growth?

Shibani Sircar Kurian: Calculating...

What is the minimum investment for Kotak Debt Hybrid Fund Direct Growth?

The minimum investment for Kotak Debt Hybrid Fund Direct Growth is ₹100 for lumpsum investments and ₹100 for SIPs.

What are the average 1-year returns for Kotak Debt Hybrid Fund Direct Growth?

Calculating...

What are the average 3-year returns for Kotak Debt Hybrid Fund Direct Growth?

Calculating...

What is the expense ratio of Kotak Debt Hybrid Fund Direct Growth, and how does it compare to its category?

The expense ratio of Kotak Debt Hybrid Fund Direct Growth is 0.45%. The average expense ratio for similar funds in the Hybrid is Calculating....