Welcome to Comparemutualfunds
SBI UTI LIC HDFC Tata Birla ICICI Kotak ING Vysya Shriram Bharti Axa Metlife India Reliance Indian Bank
Mutual Fund Providers
SBI Mutual Fund
UTI Mutual Fund
LIC Mutual Fund
HDFC Mutual Fund
Tata Mutual Fund
Birla Sun Life Mutual Fund
ICICI Prudential Mutual Fund
Kotak Mutual Fund
ING Vysya Mutual Fund
Shriram Mutual Fund
Bharti Axa Mutual Fund
Metlife India Mutual Fund
Reliance Mutual Fund
Indian Bank Mutual Fund
Home » Kotak Mutual Fund
Kotak Mutual Fund

Kotak Mutual Fund

Kotak Mahindra Mutual Funds group has a net worth of around Rs.3,200 crore and employs around 10,800 employees across its various businesses servicing around 2.6 million customer accounts through a distribution network of branches, franchisees, representative offices and satellite offices across 300 cities and towns in India and offices in New York, London, Dubai, Mauritius and Singapore.

EQUITY SCHEMES

Kotak 30

The scheme follows a bottom-up approach to stock selection. The fund has predominantly invested into blue chip large market capitalization companies. Also small portion of the funds is invested in medium capitalization companies, which have the potential to become blue chip companies of tomorrow.

Kotak Midcap

The key focus of the fund is to identify potential stocks that are likely and invest in mid-cap companies that will become tomorrow's large-caps. The essence is to ‘spot’ them young and watch them grow'. It endeavors to take advantage of the successive waves of opportunity provided by a transitioning economy.

Kotak Opportunities

Kotak Opportunities is a diversified equity scheme, with a flexible investing style. It will invest in sectors, which the Fund Manager believes would outperform others in the short to medium-term.

Kotak Lifestyle

Kotak Lifestyle seeks to capitalize on the growing consumption boom in India. The key drivers for the lifestyle theme are 4 A's viz Awareness, Availability, Aspiration and Affordability.

Kotak Contra

Kotak Contra follows a contrarian style of investing. The preference is for bargain hunting rather than the momentum approach to stock picking.

Kotak Tax Saver

Kotak Tax saver offers the investor the dual advantage of potential capital appreciation as well as tax savings (as applicable)The portfolio offers a diversified mix across various sectors. As it is a close ended architecture, the investor has to compulsorily lock in ones fund for 3 years.

Kotak Global India

It aims at capturing potential valuation gains derived from resurgence in manufacturing sector as well as inherent strength in the service sector.
1 2 3 4
 
© comparemutualfunds.co.in 2010 - All rights reserved.