Kotak Floating Interest Rates Fund - Direct Plan

KOTAKMAHINDRAMF | ISIN: INF174KA1EC0

NAV: Rs 1668.1742 (-0.09%) as of 2026-09-11

Category: Debt - Floater | Plan: Direct

Returns

PeriodReturn
1 Year6.18%
2 Year7.59%
3 Year7.79%
4 Year7.63%
5 Year6.72%

Fund Details

AUMRs 3425 Cr
Expense Ratio0.22%
Fund ManagerMr. Deepak Agrawal
Launch Date2019-05-09
Min InvestmentRs 100
Min Additional InvestmentRs 100
Dividend TypeG
Settlement TypeT1