Kotak Yearly Interval - Series 1 Growth Return

  • 1M
  • 3M
  • 6M
  • 1Y
  • 3Y
  • 5Y
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Showing Funds Performance since Sep 07, 2020

Kotak Yearly Interval - Series 1 Growth Fund Overview

Min. investment

SIP ₹0 & Lump. ₹5000

AUM (Fund size)

0 Cr

Lock In Period

N/A

Expense Ratio

N/A

Exit Load

Nil

Benchmark

CRISIL Low Duration Debt Index

Summary

Kotak Yearly Interval - Series 1 Growth NAV is ₹0 as of 16 May, 2026. Kotak Yearly Interval - Series 1 Growth has delivered 0.00% returns since its launch. The minimum SIP investment amount in Kotak Yearly Interval - Series 1 Growth is ₹0. The AUM of Kotak Yearly Interval - Series 1 Growth is ₹0 Cr. The expense ratio of the fund is N/A%, and its benchmark is CRISIL Low Duration Debt Index. The current exit load of the fund is Nil. In the last 1M months, Kotak Yearly Interval - Series 1 Growth has delivered 0.00% returns.

Kotak Yearly Interval - Series 1 Growth Calculate Returns

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Growth Review

DurationFund Return(%)Category Average(%)Category Best(%)
1M0.00-0.883.10
6M0.000.8711.87
1Y0.002.4021.71
3Y0.0010.98142.24

Portfolio Analysis

  • Equity:
  • Debt:
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As on:
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About Fund Kotak Yearly Interval - Series 1 Growth

Kotak Yearly Interval - Series 1 Growth managed by Kotak Mahindra Mutual Fund,is a Debt - Incomescheme with Assets Under Management of ₹0 Crore. The fund benchmarks its performance against the CRISIL Low Duration Debt Index while maintaining an expense ratio of . Under the expert guidance of Deepak Agrawal ,the fund implements a disciplined investment approach aligned with its mandate. The scheme requires a minimum investment of ₹500 for SIP and ₹1,000 for lump sum investments, making it accessible to diverse investor profiles.

Fund Managers

Deepak Agrawal

Mr. Deepak is a Post Graduate in Commerce, Chartered Account, Company Secretary and currently pursuing CFA. His career has started from Kotak AMC when he joined the organization in December 2002 where he was initially in Research, Dealing and then moved into Fund Management from November 2006.

Peer Comparison

Fund NameRatingsAUMExpense Ratio
Nippon India Interval Fund - II - Series 3 Growth0112.18 CR0.43
Fund Name1Y3Y
This FundNippon India Interval Fund - II - Series 3 Growth

Kotak Yearly Interval - Series 1 Growth FAQs

Kotak Yearly Interval - Series 1 Growth's fund is managed by experienced SEBI-registered investment fund manager , who implements the fund's strategy through research-backed decisions while adhering to its stated objectives.

The expense ratio of Kotak Yearly Interval - Series 1 Growth is . This expense ratio is calculated by dividing the fund's operating expenses by its net assets.

Kotak Yearly Interval - Series 1 Growth’s fund performance is as follows:
  • 1 Month : %
  • 6 Months : %
  • 1 Year : %
  • 3 Years : %
Returns of Kotak Yearly Interval - Series 1 Growth are updated daily based on NAV of ₹ as on undefined NaN,NaN. Since inception, the return has been 0.00%.

You can invest in Kotak Yearly Interval - Series 1 Growth through SIP with a minimum of ₹500 monthly or make a lump sum investment of a minimum ₹1,000. Additional purchase minimums vary by scheme.

The fund size (AUM) of Kotak Yearly Interval - Series 1 Growth is ₹0 crore. It changes based on market performance, inflows, and outflows.

You can track your investment in Kotak Yearly Interval - Series 1 Growth through our website, our Choice FinX mobile app, regular statements, and email updates. Our customer support team is available for queries.