Kotak Bond

The scheme aims to create a portfolio of debt instruments of different maturities so as to spread the risk across a wide maturity horizon and different kind of issuers in the debt market. The wholesale plan is targeted at big ticket investors and corporate.

Growthvine rating: 2/5 — ranked #35 of 53 in category.

Fund basics

CategoryDebt: Medium to Long Duration
NAV₹80.28 (as of 2026-08-21)
AUM₹1,795 Cr
Expense ratio1.40%
RiskometerModerately High
Fund managerAbhishek Bisen
Exit load0

Performance & risk

5-year annualised return5.46%
Sharpe ratio0.18
Standard deviation2.84%
Max drawdown-10.07%
Alpha0
Beta0

Over 5 years, captured 94.6% of NIFTY Medium to Long Duration Debt Index's upside and 81.2% of its downside.

Market cap allocation

Concentration

Top holdings

Not disclosed.

Top sectors

Not disclosed.

Calendar-year track record

YearReturnQuartileCategory rank
2026 (partial)3.3%Q2#27 of 53
20255.4%Q4 (Bottom)#49 of 53
20248.2%Q2#19 of 50
20236.8%Q3#23 of 37
20221.7%Q3#12 of 18