Kotak Gilt Investment Fund Provident Fund and Trust Growth - Regular - Latest NAV [ ₹96.4442 ], Returns, Performance, Portfolio & Returns 2026

Kotak Gilt Investment Fund Provident Fund and Trust Growth

Low To Moderate Risk

Debt

2 Star

NAV as of Feb 06, 2026

96.63

-0.71%1D Change

3Y returns

+18.29%

Low To Moderate Risk

Debt

2 Star

NAV as of Feb 06, 2026

96.63

-0.71%1D Change

3Y returns

+18.29%

Kotak Gilt Investment Fund Provident Fund and Trust Growth

Low To Moderate Risk|Debt|2 Star
NAV as of Feb 06, 2026

96.63

-0.71%1D

3Y returns

+18.29%

Returns calculator

Investment Type

Monthly SIP
One-Time
4000
20
yrs
Total investment₹9.6 Lakhs
Returns0
Final Value0
Absolute ReturnNaN%

Fund overview

  • Rating2 Star
  • Expense ratio1.48%
  • Exit Load0% within 0 days
  • AUM (Fund size)₹3,062.84 Crore
  • Lock-in periodNo Lock-in
  • Age22 yrs since Nov 11, 2003
  • Min. investmentSIP ₹1000 & Lump. ₹5000
  • RiskLow to Moderate
  • Tax implicationsShort-term capital gains (STCG) are taxed at applicable slab rates

Fund Distribution

Equity
0%
Debt
97.68%
Others
2.32%
Top Holdings
Top Sectors
Holding NameAssets (%)
7.3% Govt Stock 205332.97%
7.34% Govt Stock 206419.47%
Triparty Repo12.62%
7.09% Govt Stock 20748.46%
India (Republic of)6.64%

Peer Comparison

Overview
Returns
Risk Ratios
Fund NameAUM (In Crs.)NAVRisk
ICICI Prudential Gilt Fun...₹ 9,364 Cr
112.92
| -0.59%
Low to Moderate
UTI Gilt Fund Direct Plan...₹ 544 Cr
65.97
| -0.44%
Moderate
Axis Gilt Fund Direct Pla...₹ 670 Cr
27.49
| -0.47%
Moderate
SBI Gilt Fund Direct Grow...₹ 10,697 Cr
70.51
| -0.29%
Moderate

NAV History - Kotak Gilt Unit Scheme 98 Investment Plan - Provident Fund Plan & Trust Plan

FUND

Kotak Gilt Unit Scheme 98 Investment Plan - Provident Fund Plan & Trust Plan

NAV (Feb 06, 2026)₹96.63
ClassDebt | 10 yr Government Bond
Inception DateNov 11, 2003
Fund ManagerAbhishek Bisen

FUND

Kotak Gilt Unit Scheme 98 Investment Plan - Provident Fund Plan & Trust Plan

Initial Price₹10
Min. Investment AmountSIP ₹1000 and Lump. ₹5000
Exit Load0% within 0 days

Returns

1W

1M

3M

6M

1Y

3Y

Kotak Gilt Unit Sche...-0.67%-0.69%-0.67%-1.08%0.48%5.41%

About Kotak Mahindra Asset Management Co Ltd

Kotak Mutual Fund was established in December 1998 and is a wholly-owned subsidiary of Kotak Mahindra Bank. It is one of the top asset management companies in India. Kotak Mutual Fund has Kotak Mahindra Bank Limited as the sponsor and Kotak Mahindra Trustee Company Limited as the trustee. Kotak Mahindra Asset Management Company (KMAMC) is the asset management company for Kotak Mahindra Mutual Fund.

Kotak Mahindra Asset Management Co Ltd Details

  • No. of schemes127
  • Total AUM₹233,780.35 Crore
  • AddressKotak Mahindra Asset management Company Limited, 2nd Floor, 12-BKC, Plot No C-12, Mumbai, Maharashatra, 400 051
  • Phone+91 22 61152100
Start your investment
Lumpsum
SIP
Amount
5,000
Duration
1Year
Estimated value after 1 year

(as per historical returns)

₹5,270
Investment in Regular Funds are no longer available. Switch to Direct Plan of the same fund for higher returns.