₹ 11.617
NAV (Jul 25)
Investment Duration5 years
0
Total Investment0
Wealth Gained0
Total Corpus Created (₹)
With CAGR of 11.25 % in 5 years₹ 11.617
NAV (Jul 25)
Last 1Y | NA |
Last 3Y | NA |
Last 5Y | NA |
Last 10Y | NA |
Since Inception | 16.2% |
6 Month CAGR | NA |
The investment objective of the scheme is to generate long-term capital appreciation from a portfolio that is invested predominantly in equity and equity related securities of Technology & technology related sectors.
Expense Ratio | 2.43 |
Launched (0y ago) | Mar 04, 2024 |
AUM in Crores | 363.712 |
ISIN | INF174KA1QW2 |
Lock-in | No Lock-in |
Benchmark | BSE TECK TR INR |
SIP Minimum | 0 |
Lumpsum Min. | 5000 |
Standard Deviation (3yr) | 0 |
Standard Deviation (5yr) | 0 |
Beta (3yr) | 0 |
Beta (5yr) | 0 |
Sharpe Ratio (3yr) | 0 |
Sharpe Ratio (5yr) | 0 |
YTM | 0 |
of
for
with step up of
Asset | Returns | Total Corpus | Gains | CAGR |
---|---|---|---|---|
Kotak Technology Fund (Growth) | NaN | NaN | % | |
EPF | 9,00,761 | 1,68,149 | 8.50% | |
Property | 8,67,662 | 1,35,050 | 7.00% | |
PPF | 8,69,819 | 1,37,207 | 7.10% | |
Bank FD | 8,46,471 | 1,13,859 | 6.00% | |
Gold | 8,46,471 | 1,13,859 | 6.00% | |
Savings Bank | 8,25,950 | 93,338 | 5.00% |
Disclaimer: Products compared like fixed deposits may provide fixed guaranteed returns. Mutual Funds investments are subject to market risk, read all scheme related documents carefully before investing. Past performance is not an indicator of future returns.
infosys ltd
22.7%tata consultancy services ltd
13.5%bharti airtel ltd
13.3%tech mahindra ltd
6.8%hcl technologies ltd
5.7%technology
65.3%communication services
22.5%industrials
5.1%consumer cyclical
4.9%Fund Name | Fund Size | Outperformance Consistency |
---|---|---|
₹ 21,459 cr | ||
₹ 16,283 cr | ||
₹ 24,345 cr | ||
₹ 59,364 cr | ||
₹ 45,470 cr |
Kotak Mahindra Asset Management Co Ltd
Fund Name | Scripbox Opinion | Till Date CAGR | |
---|---|---|---|
12% | 7.9% | ||
12.6% | 14.8% | ||
- | 5.4% | ||
12% | 7.9% | ||
12% | 7.9% |
Kotak Technology Fund (G) is a Sectoral/ Thematic Equity fund and has delivered an annualised return of 16.6% over a period of 0 years. The fund is managed by Kotak Mahindra Asset Management Co Ltd. The fund managers are Abhishek Bisen, Arjun Khanna, Shibani Kurian.
Nav of Kotak Technology Fund (G) as of 7/25/2024 is ₹11.62 with the total AUM as of 7/26/2024 is ₹363.712. With Scripbox you can compare and check the latest nav for all mutual funds in India. Kotak Technology Fund (G) was launched on Mar 04, 2024. The category risk of the fund is Very High Risk.
The minimum SIP amount for Kotak Technology Fund (G) is ₹0 and you can increase this in multiples of ₹100. In case you want to invest a lump sum, the minimum amount to be invested is ₹5000. Check your estimated returns on mutual funds by using sip calculator.
Kotak Technology Fund (G) is meant for investors with a minimum investment horizon of 5-7 years. Due to the asset class nature, expect volatility in your investments over the short term. The fund is benchmarked to BSE TECK TR INR.
Kotak Technology Fund (G) is rated as a 0 fund in Equity and delivered null% returns in the last 1 year. Scripbox provides a compare mutual funds research tool to view a detailed comparison with Kotak Technology Fund (G).
What is Kotak Technology Fund (G)?
How to invest in Kotak Technology Fund (G)?
You can invest in Kotak Technology Fund (G) through AMC, intermediaries, brokers or platforms like Scripbox. To learn step by step process visit how to invest in mutual funds?
What is the minimum sip amount of Kotak Technology Fund (G)?
The minimum sip amount for Kotak Technology Fund (G) is ₹0. You can invest in multiples of ₹5000.
Is Kotak Technology Fund (G) good to invest in?
As per Scripbox experts, Kotak Technology Fund (G) is a Not Reviewed Yet fund. You can investKotak Technology Fund (G) fund if its investment objective and risk-o-meter matches your investment goals and risk preferences.
What is the expense ratio of the Kotak Technology Fund (G)?
The expense ratio of the Kotak Technology Fund (G) is 2.43% for regular plan.