Asian Paints

2303.3 15.50

Cipla

1326.5 0.10

Eicher Motors

7640.5 -114.50

Nestle India

1260.6 9.70

Grasim Inds

2750.3 26.20

Hindalco Inds.

965.05 10.10

Hind. Unilever

2229 -26.00

ITC

310.3 -1.20

Trent

3755.2 -35.70

Larsen & Toubro

3972.6 -66.10

M & M

3357 9.00

Reliance Industries

1418.3 28.90

Tata Consumer

1126.4 7.30

Tata Motors PVeh

352.9 -2.25

Tata Steel

201.21 0.64

Wipro

196.05 0.37

Apollo Hospitals

7688 -87.00

Dr Reddy's Labs

1310.3 -3.20

Titan Company

4271.1 -4.10

SBI

1154.5 -15.00

Shriram Finance

1032.9 -6.60

Bharat Electron

469.7 9.70

Kotak Mah. Bank

402.05 -5.25

Infosys

1308.9 3.10

Bajaj Finance

953.85 -8.55

Adani Enterp.

2059.1 -30.10

Sun Pharma.Inds.

1801.4 16.90

JSW Steel

1240.3 -7.80

HDFC Bank

861.8 -15.95

TCS

2568.5 -10.30

ICICI Bank

1322.8 -34.80

Power Grid Corpn

301.05 1.60

Maruti Suzuki

14315 -100.00

Axis Bank

1328.3 -20.80

HCL Technologies

1361.5 7.40

O N G C

280 3.65

NTPC

384.1 6.05

Coal India

442.1 -7.30

Bharti Airtel

1882 -25.00

Tech Mahindra

1330.8 -2.50

Jio Financial

240.7 -2.40

Adani Ports

1488.2 -11.10

HDFC Life Insur.

671 -13.30

SBI Life Insuran

1958.4 13.40

Max Healthcare

1036.8 -21.40

UltraTech Cem.

12102 -186.00

Bajaj Auto

9827 22.50

Bajaj Finserv

1874.2 -37.60

Interglobe Aviat

4418.5 -94.30

Eternal

235.33 -4.81

Mutual Funds   
MF ANALYSIS
Scheme Profile
 
Kotak Long Duration Fund - Regular (G)
Inception Date 11-Mar-2024
Invest Now
10.94
05-Mar-2026
 / 
Net Assets ()
120.99
Fund TYpe:
O
Category
Income Funds
AMC
Kotak Mahindra Mutual Fund
Fund Manager:
Abhishek Bisen
Entry Load:
Nil
Exit Load
Nil
Performance(%)
No Data Available
Latest Payouts
Particulars Dividends Bonus
Ratio NA NA
Record Date NA NA
STATISTICAL RATIOS
Beta [%] SD Sharpe Ratio [%] Jensons Alpha [%] TR [%]
0.1689 1.4462 -0.1234 -1.1786 -0.2059
What is Beta ? Beta is a measure of the volatility of the portfolio to that of the index. In simple words it shows the movement of the portfolio in comparison. The Higher the Beta, higher the volatility of the scheme to the index. If its greater than1 , then the portfolio is highly volatile to the movemnts in the index. If the beta is lesser than 1 , then scheme is less volatile to the index and beta which is close to 1 implies that the scheme is closely following the index.
Asset Allocation


Sector Allocation


Holdings(%)
As on 15-Feb-2026
Company Name Sector Market Value Cr. No. Of Shares Hold(%)
GSEC2065 Govt. Securities 18.53 2000000 15.84
GSEC2038 Govt. Securities 16.85 4147200 14.40
Punjab 2033 Govt. Securities 15.16 1500000 12.96
GSEC2044 Govt. Securities 10.74 4170400 9.19
Karnataka 2035 Govt. Securities 10.07 1000000 8.61
GSEC2055 7.24 Govt. Securities 9.76 1000000 8.35
GSEC2037 Govt. Securities 9.09 2088800 7.77
GSEC2042 Govt. Securities 7.86 2623300 6.72
GSEC2045 Govt. Securities 5.80 2518500 4.96
Odisha 2033 Govt. Securities 5.02 500000 4.29

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