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BACK
Fund Profile
Kotak BSE PSU Index Fund - Direct (G)
Summary Info
Fund Name
Kotak Mahindra Mutual Fund
Scheme Name
Kotak BSE PSU Index Fund - Direct (G)
AMC
Kotak Mahindra Mutual Fund
Type
Open
Category
Index Fund
Launch Date
10-Jul-24
Fund Manager
Devender Singhal
Net Assets (
)
79.07
NAV Graph
One Month
Three Months
Six Months
One Year
Three Years
Five Years
Latest Payouts
Dividends
Bonus
No payout data available.
Performance
(%)
1 Week
[%]
1 Months
[%]
6 Months
[%]
1 Year
[%]
3 Years
[%]
5 Years
[%]
Since
INC[%]
Scheme Return
-1.99
1.30
17.88
-1.83
0.00
0.00
0.00
-11.91
Holdings
Company Name
Hold %
St Bk of India
15.59
NTPC
7.94
Bharat Electron
6.89
Power Grid Corpn
6.61
O N G C
4.67
Hind.Aeronautics
4.65
Coal India
4.53
B P C L
3.11
Power Fin.Corpn.
2.95
I O C L
2.61
GAIL (India)
2.56
REC Ltd
2.49
Bank of Baroda
2.32
H P C L
1.97
Canara Bank
1.93
Punjab Natl.Bank
1.82
B H E L
1.68
Union Bank (I)
1.40
NHPC Ltd
1.36
Mazagon Dock
1.33
I R F C
1.27
NMDC
1.22
I R C T C
1.15
Oil India
1.14
Rail Vikas
1.14
Indian Bank
1.08
Container Corpn.
1.07
S A I L
0.93
Bharat Dynamics
0.92
Life Insurance
0.90
Cochin Shipyard
0.82
Natl. Aluminium
0.81
Bank of India
0.75
General Insuranc
0.65
NBCC
0.63
H U D C O
0.60
Indian Renewable
0.59
Garden Reach Sh.
0.43
Bank of Maha
0.42
Hindustan Copper
0.41
BEML Ltd
0.40
Gujarat Gas
0.40
NLC India
0.39
SJVN
0.34
Engineers India
0.32
Ircon Intl.
0.31
New India Assura
0.23
J & K Bank
0.23
NMDC Steel
0.22
IFCI
0.22
UCO Bank
0.19
Rites
0.19
Central Bank
0.19
ITI
0.17
C P C L
0.16
G M D C
0.15
I O B
0.15
M R P L
0.13
Mishra Dhatu Nig
0.10
R C F
0.10
Pun. & Sind Bank
0.07
MMTC
0.06
KIOCL
0.01
TREPS
0.25
Net CA & Others
-0.32