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Kotak Savings Fund Reg Gr (0P00005WT3.BO)

42.41
+0.01
+(0.01%)
As of April 30 at 1:30:00 AM GMT+5:30. Market Open.
Loading Chart for 0P00005WT3.BO
  • Previous Close 42.40
  • YTD Return 1.83%
  • Expense Ratio 2.25%
  • Category --
  • Last Cap Gain --
  • Morningstar Rating
  • Morningstar Risk Rating Above Average
  • Sustainability Rating --
  • Net Assets 334.21M
  • Beta (5Y Monthly) 3.09
  • Yield 0.00%
  • 5y Average Return --
  • Holdings Turnover 207.37%
  • Last Dividend --
  • Inception Date Aug 13, 2004

Kotak Mahindra Asset Management Co Ltd

Fund Family

--

Fund Category

334.21M

Net Assets

2004-08-13

Inception Date

Performance Overview: 0P00005WT3.BO

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Trailing returns as of 4/29/2025.

YTD Return

0P00005WT3.BO
1.83%
Category
0.00%
 

1-Year Return

0P00005WT3.BO
7.20%
Category
0.00%
 

3-Year Return

0P00005WT3.BO
6.46%
Category
0.00%
 

5-Year Return

0P00005WT3.BO
5.58%
Category
0.00%
 

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