Kotak NASDAQ 100 Fund of Fund - Regular (G)
Fund Class | : | Fund of Funds - Equity |
Fund House | : | Kotak Mahindra Mutual Fund |
Aum(Rs Cr) | : | 233.09 |
NAV 29 Jun 2022 | 9.27 | -0.12 (-1.28%) |
NAV High-Low (in Rs)
ONE Mth | 1063.36 |
|
1063.36 |
52-WEEk | 513.81 |
|
1063.36 |
Trailing Returns
Competitors of Kotak NASDAQ 100 Fund of Fund - Regular (G) fund
Schemes | FUND SIZE( ![]() |
1-Wk (%) |
1-Mth (%) |
3-Mth (%) |
6-Mth (%) |
1-Yr (%) |
Baroda BNP Paribas Funds Aqua Fund of Fund (G) | 104.09 | 3.33 | -7.83 | -12.09 | -22.86 | -14.20 |
Fund Features
Types of Scheme | Growth |
Options | Fund of Funds |
Assets Size (Rs in Cr) | 233.09 (28 Feb 21) |
Inception Date | 11 Jan 21 |
Fund Manager | Arjun Khanna |
Investment Details
Minimum Investment | 5000.00 |
Purchase Redemption | DAILY |
Last Dividend paid | (Rs) |
Entry Load | 0.00% |
EXIT Load | 0.00. |
Fund Activity
Fund DETAILS
Asset Management Co.
Registered Address
Kotak Mahindra Asset Management Company Lt,
27 BKC C-27 G Block Bandra Kurla
Complex Bandra(E)
Mumbai - 400 051.
Phone: 61152100 | Fax: 67082213
Email: fundaccops@kotakmutual.com
Website: assetmanagement.Kotak.com