logo
logo
Kotak Manufacture in India Fund

Kotak Manufacture in India Fund

1–7 yearsInvestment Horizon

Performance and Risk Analysis

Historical returns, volatility patterns, and how this fund has performed relative to its benchmark.

Risk Profile

Risk Profile

Standard Deviation20.8%
Sharpe Ratio-0.21

Strategy Details

A closer look at the investment thesis, portfolio construction, and current holdings.

Portfolio Holdings Overview

Portfolio Holdings Overview

SectoralAllocation
Services16.82%
Capital Goods44.84%
Consumers23.63%
Technology3.01%
Energy & Infra11.7%

Geographic Allocation

Domestic100%
Top Stock Holdings

Top Stock Holdings

CompanySectorAllocation
Sun Pharmaceuticals Industries LtdServices4.83%
Reliance Industries LtdEnergy & Infra4.39%
Mahindra & Mahindra LtdConsumers3.98%
Tata Steel LtdCapital Goods3.65%
Bharat Electronics LtdCapital Goods3.21%
Tata Motors LtdConsumers3.18%
Hindustan Petroleum Corp LtdEnergy & Infra2.88%
Triparty RepoUtilities2.84%
Dr Reddy's Laboratories LtdServices2.70%
Bharat Petroleum Corp LtdEnergy & Infra2.62%

Operational & Regulatory Details

What it costs to invest, transaction mechanics, and regulatory disclosures you should know.

iconCosts and Fees

Total Expense Ratio (TER)1.97%

iconRegulatory & Tax Information

INF174KA1ID9
verified
ISIN
DailyDealing Frequency

LTCG | >1Year 12.5%% on gain above 1.25 Lakh

STCG | <1Year 20%%

Tax Implications (India)
Let's Chat