Kotak Debt Hybrid Growth - Latest NAV, Returns, Performance & Portfolio

Kotak Debt Hybrid Growth

  • highlight
    8.23%
  • highlight
    32.1313

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Min amount: ₹1,500

Calculate Returns

Rs. 3,000 invested monthly becomes Rs. 18.31 Lakhs in a period of 20 years

Fund Summarystar

PeriodReturns(per year)
10 Years8.48%
5 Years8.23%
3 Years5.81%
1 Year10.14%
6 Months4.73%
Fund Details
ISININF174K01393
RiskModerate Risk
Fund TypeConservative Allocation
NAV32.1313
Exit Load1% for 365 Days

More about this fundstar

Top HoldingsWeightage
INDIAN RAILWAY FINANCE CORPORATION LIMITED11.89%
GOVT STOCK8.39%
POWER FINANCE CORPORATION LIMITED8.18%
RELIABLE DEVICES TRUST6.47%
Punjab and Sind Bank5.96%
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT4.18%
7.26% Govt Stock 20294.15%
United Bank Of India4.06%
Shriram Transport Finance Company Limited3.74%
Power Finance Corporation Ltd.2.46%
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Frequently Asked Questions

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Start your investment

Min amount: ₹1,500

Calculate Returns

Rs. 3,000 invested monthly becomes Rs. 18.31 Lakhs in a period of 20 years
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Moderate Risk

All investments come with risk. Risk is the volatility or fluctuation in the price (and returns) of the investment. Usually,

  • High Risk = High possible returns
  • Low Risk = Stable, relatively lower returns