Asian Paints

264014.80

Cipla

1432.2-5.80

Eicher Motors

8010-32.00

Nestle India

1477.119.10

Grasim Inds

33088.00

Hindalco Inds.

10344.15

Hind. Unilever

2015-13.00

ITC

269.4-2.25

Trent

2924-46.00

Larsen & Toubro

409312.00

M & M

3412.2-12.60

Tata Consumer

1049-7.30

Tata Motors PVeh

317.9-2.35

Tata Steel

183-0.50

Wipro

180.79-0.21

Apollo Hospitals

8693-42.00

Dr Reddy's Labs

1174.7-5.30

Titan Company

5086.118.10

SBI

1048.70.70

Shriram Finance

11301.80

Bharat Electron

4144.60

Kotak Mah. Bank

402.85.45

Infosys

1121-9.00

Bajaj Finance

10950.00

Adani Enterp.

29972.10

Sun Pharma.Inds.

1902.4-1.60

JSW Steel

1293.7-6.00

HDFC Bank

726.951.90

TCS

23024.00

ICICI Bank

14208.10

Power Grid Corpn

272.47.60

Maruti Suzuki

13565-244.00

Axis Bank

1245.8-5.20

HCL Technologies

1302.5-15.90

O N G C

236.4-2.10

NTPC

3402.50

Coal India

405.22.70

Bharti Airtel

19464.30

Tech Mahindra

1584-8.10

Jio Financial

244-0.60

Adani Ports

17004.00

HDFC Life Insur.

554.812.80

SBI Life Insuran

1792.910.90

Max Healthcare

10002.10

UltraTech Cem.

11570-5.00

Bajaj Auto

11700-93.00

Bajaj Finserv

2032.516.50

Interglobe Aviat

5110-55.00

Eternal

3280.05

Mutual Funds   
MF ANALYSIS
Scheme Profile
 
Kotak Corporate Bond Fund-Dir (IDCW)
Inception Date 10-Aug-2026
Invest Now
997.90
21-Aug-2026
 / 
Net Assets ()
0.00
Fund TYpe:
O
Category
Income Funds
AMC
Kotak Mahindra Mutual Fund
Fund Manager:
Deepak Agrawal
Entry Load:
Nil
Exit Load
Nil
Performance(%)
Particulars 1 Week 1 Month 3 Month 6 Month 1 Year 3 Year 5 Year Since Inception
Scheme Return -0.41 NA NA NA NA NA NA -0.30
Category Avg -0.32 0.30 2.61 3.09 5.65 7.29 6.51 6.83
Category Best 3.47 3.47 19.70 61.14 73.78 30.67 27.77 13.52
Category Worst -3.94 -35.43 -34.47 -33.53 -31.54 -7.40 -2.48 -0.30
NIFTY Corporate Bond Index A-II N.A N.A N.A N.A N.A N.A N.A N.A
Latest Payouts
Particulars Dividends Bonus
Ratio NA NA
Record Date NA NA
STATISTICAL RATIOS
Beta [%] SD Sharpe Ratio [%] Jensons Alpha [%] TR [%]
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-Aug-2026
Company Name Sector Market Value Cr. No. Of Shares Hold(%)
S I D B I Debt Others 1309.02 131000 8.61
Power Fin.Corpn. Debt Others 1063.41 88500 6.98
N A B A R D Debt Others 952.84 95000 6.25
REC Ltd Debt Others 750.70 45900 4.93
Bajaj Finance Debt Others 557.60 56000 3.66
Aditya Birla Cap Debt Others 399.59 40000 2.63
NABFID Debt Others 391.04 40000 2.57
LIC Housing Fin. Debt Others 386.54 19600 2.53
Embassy Off.REIT Debt Others 384.38 38750 2.52
Tata Cap.Hsg. Debt Others 351.31 30500 2.30

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