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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 (
)
73.16
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
-0.63
4.22
7.71
-3.91
0.00
0.00
0.00
-15.73
Holdings
Company Name
Hold %
St Bk of India
16.14
NTPC
9.26
Power Grid Corpn
7.21
Bharat Electron
5.88
O N G C
5.24
Coal India
4.95
Hind.Aeronautics
4.26
Power Fin.Corpn.
3.28
B P C L
2.96
REC Ltd
2.90
GAIL (India)
2.68
I O C L
2.56
Bank of Baroda
2.32
H P C L
1.88
Punjab Natl.Bank
1.81
Canara Bank
1.63
B H E L
1.52
NHPC Ltd
1.40
Union Bank (I)
1.31
NMDC
1.29
I R F C
1.24
I R C T C
1.20
Oil India
1.13
Rail Vikas
1.08
Indian Bank
1.03
Container Corpn.
1.03
S A I L
0.90
Mazagon Dock
0.87
Natl. Aluminium
0.86
Life Insurance
0.83
General Insuranc
0.72
Bank of India
0.72
Cochin Shipyard
0.65
Bharat Dynamics
0.64
Indian Renewable
0.59
H U D C O
0.54
NBCC
0.46
NLC India
0.43
Hindustan Copper
0.40
Bank of Maha
0.39
Gujarat Gas
0.39
SJVN
0.35
BEML Ltd
0.34
Ircon Intl.
0.28
Garden Reach Sh.
0.26
Engineers India
0.24
J & K Bank
0.22
New India Assura
0.21
NMDC Steel
0.21
C P C L
0.16
I O B
0.16
Rites
0.16
IFCI
0.15
Central Bank
0.14
ITI
0.13
M R P L
0.13
UCO Bank
0.12
G M D C
0.12
R C F
0.09
Mishra Dhatu Nig
0.07
MMTC
0.04
Pun. & Sind Bank
0.03
KIOCL
0.01
Net CA & Others
-0.20