Powered by: Motilal Oswal
Menu
Close X
Kotak Special Opportunities Fund-Reg(G)

Scheme Returns

3.28%

Category Returns

4.77%

Riskometer

  • Low
  • Low to moderate
  • Moderate
  • Moderately High
  • High
  • Very High

NAV Chart

Trailing Returns

1 Day 1 week 1 Mth 3 Mth 1 Yrs 3 Yrs 4 Yrs 5 Yrs Since Inception
Kotak Special Opportunities Fund-Reg(G) -0.10 -0.56 3.28 -3.91 0.00 0.00 0.00 0.00 0.63
Equity - Thematic Fund - Other -12.76 -11.77 4.77 -2.51 24.47 17.28 20.48 19.94 18.49

* Equity - Returns upto 1 year are absolute and over 1 year are CAGR.

* Debt - Returns upto 1 year are annualized and over 1 year are CAGR.

  • AMC

    Kotak Mahindra Asset Management Company Limited

  • Fund

    Kotak Mahindra Mutual Fund

Snapshot

  • Inception Date

    29-Jun-2024

  • Initial Price

    ₹10

  • Entry Load

    --

  • Size of Fund(in Cr.)

    224,025.86

  • Scheme Plan

    --

  • Scheme Class

    Equity - Thematic Fund - Other

  • Objectives

    The investment objective of the scheme is to generate long term capital appreciation by investingpredominantly in opportunities presented by Special Situations such as Company Specific Event / Developments, Corporate Restructuring, Government Policy change and/or Regulatory changes, Technology led Disruption/ Innovation or companies going through temporary but unique challenges and other similar instances.

  • Scheme Type

    Open ended scheme

  • Min. Investment

    ₹100

  • Exit Load

    --

  • Latest NAV

    9.883

  • Fund Manager

    Mr. Devender Singhal

  • Fund Manager Profile

    --

  • Fund Information

  • AMC

    Kotak Mahindra Asset Management Company Limited

  • Address

    27 BKC, C-27, G Block, Bandra Kurla Complex, Bandra (E), Mumbai - 400 051

  • Phone

    +91 (22) 66384400

  • Fax

    +91 (22) 66384455

  • Email

    mutual@kotak.com

  • Website

    https://www.kotakmf.com/

  • Registrar Agent

  • Registrar

    Computer Age Management Services Limited

  • Address

    178 / 10, Kodambakkam High Road, Opp. Palmgroove Hotel, M.G.R. Salai, Nungambakkam, Chennai - 600 034

  • Phone

    (044) 39115574, 39115583

  • Fax

    (044) 28291521

  • Email

    camslb@camsonline.com

  • Website

    www.camsonline.com

Portfolio Details

Allocation
Equity : 99.12
Others : 0.88

Companies - Holding Percentage

Company Market Value hold percentage
Maruti Suzuki India Limited 14162.79 6.08
Oracle Financial Services Software Ltd 11717.62 5.03
ITC Ltd. 10339.43 4.44
Hero MotoCorp Ltd. 9922.05 4.26
Wipro Ltd. 9245.6 3.97
Hindustan Unilever Ltd. 9074.05 3.9
Marksans Pharma Ltd 8664.16 3.72
JYOTI CNC AUTOMATION LTD 7533.8 3.24
Radico Khaitan Ltd. 7375.69 3.17
PVR LTD. 7361.98 3.16
Tech Mahindra Ltd. 6849.2 2.94
ORIENT CEMENT LIMITED 6847 2.94
NLC India Ltd. (Neyveli Lignite Corporation Ltd.) 6566.35 2.82
LIC HOUSING FINANCE LTD. 6167.28 2.65
Dabur India Ltd. 6075.55 2.61
Sun TV Network Limited 6044.79 2.6
Aditya Birla Sun Life AMC Ltd 5860.05 2.52
UTI ASSET MANAGEMENT COMPANY LTD 5605.68 2.41
JUBILANT PHARMOVA LIMITED 5554.13 2.39
Mphasis Ltd 5502.92 2.36
SAMVARDHANA MOTHERSON INTERNATIONAL LTD 5328.95 2.29
Crompton Greaves Consumer Electricals Limited 5326.1 2.29
Sapphire Foods India Ltd. 4968.55 2.13
POONAWALLA FINCORP LIMITED 4743.34 2.04
Indus Towers Ltd. 4648.56 2
Bata India Ltd. 4546.13 1.95
Kesoram Industries Limited 4383.2 1.88
ASTRA MICROWAVE PRODUCTS LTD. 4237.62 1.82
Coromandel International Limited 3935.8 1.69
GUJARAT STATE PETRONET LTD. 3903.91 1.68
AZAD ENGINEERING LTD 3891.71 1.67
Carborundum Universal Ltd. 3790.94 1.63
BRAINBEES SOLUTIONS LIMITED 3508.29 1.51
KALPATARU PROJECTS INTERNATIONAL LIMITED 3190.05 1.37
ASTER DM HEALTHCARE LTD 3125.83 1.34
Mahindra Logistics Ltd 2450.81 1.05
Triparty Repo 2349.57 1.01
SRF Ltd. 2265 0.97
ORCHID PHARMA LIMITED 2202.92 0.95
Graphite India Limited. 2086 0.9
JAMMU KASHMIR BANK LTD 1754.28 0.75
Net Current Assets/(Liabilities) -298.31 -0.13

Sectors - Holding Percentage

Sector hold percentage
FMCG 15.04%
IT 14.31%
Automobile & Ancillaries 12.63%
Finance 9.61%
Healthcare 8.4%
Capital Goods 7.62%
Media & Entertainment 5.76%
Construction Materials 4.82%
Alcohol 3.17%
Power 2.82%
Chemicals 2.66%
Consumer Durables 2.29%
Telecom 2%
Gas Transmission 1.68%
Abrasives 1.63%
Retailing 1.51%
Infrastructure 1.37%
Logistics 1.05%
Miscellaneous 1.01%
Bank 0.75%

Divident Details

Scheme Name Date Dividend (%)
No Data Found

Alternative Funds From Category

Scheme Name Asset Size 1M 3M 6M 1Y 3Y
Union Innovation & Opportunities Fund - Regular Plan - Growth Option 491.32 9.72 5.51 18.87 44 0
Franklin India Opportunities Fund - Growth 681.73 5.77 -0.76 6.42 40.16 28.72
HSBC Business Cycles Fund - Regular Growth 566.37 6.93 1.05 8.74 39.75 25.47
Invesco India PSU Equity Fund - Growth 431.9 3.54 -2.85 -7.55 32.3 34.32
Aditya Birla Sun Life Manufacturing Equity Fund - Regular Plan - Growth 627.43 3.71 -3.48 4.14 31.6 19.4
Kotak Pioneer Fund- Regular Plan- Growth Option 1627.66 4.88 -1.74 6.03 31.17 18.41
Axis Innovation Fund - Regular Plan - Growth Option 1359.02 4.8 -1.68 7.44 31.17 12.36
Mahindra Manulife Business Cycle Fund- Regular Plan - Growth 463.85 3.46 -5.46 3 30.87 0
Samco Active Momentum Fund - Regular Plan - Growth Option 411.94 10.11 6.33 14.59 29.96 0
ICICI Prudential Manufacturing Fund - Cumulative Option 717.63 2.46 -4.92 -3.95 28.28 26.6

Other Funds From - Kotak Special Opportunities Fund-Reg(G)

Scheme Name Asset Size 1M 3M 6M 1Y 3Y
Kotak Equity Arbitrage Fund - Growth 54915.38 0.39 1.7 3.36 7.85 6.49
Kotak Equity Arbitrage Fund - Growth 54743.93 0.39 1.7 3.36 7.85 6.49
Kotak Flexicap Fund - Growth 53844.12 4.22 -2.99 1.18 20.59 16.5
Kotak Flexicap Fund - Growth 53783.1 4.22 -2.99 1.18 20.59 16.5
Kotak Equity Arbitrage Fund - Growth 53682.68 0.39 1.7 3.36 7.85 6.49
Kotak Equity Arbitrage Fund - Growth 53423.15 0.39 1.7 3.36 7.85 6.49
Kotak Flexicap Fund - Growth 52955.61 4.22 -2.99 1.18 20.59 16.5
Kotak Emerging Equity Scheme - Growth 52626.72 5.65 1.61 8.44 37.11 23.89
Kotak Emerging Equity Scheme - Growth 52048.91 5.65 1.61 8.44 37.11 23.89
Kotak Equity Arbitrage Fund - Growth 51569.9 0.39 1.7 3.36 7.85 6.49