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Kotak Mahindra Mutual Fund

Kotak Large & Midcap Fund - Direct- Growth

Open Ended Schemes(Equity Scheme - Large & Mid Cap Fund)Very High Risk★★★★ISIN INF174K01LF9
NAV · 06-Jul-2026
411.7070
1M
+5.91%
6M
-0.56%
1Y (CAGR)
+3.57%
3Y (CAGR)
+16.73%
5Y (CAGR)
+15.81%
Since inception (CAGR)
+16.65%

NAV history

29333838304-07-202303-07-2026409.27
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Risk & SIP analytics

Q1 · TOP · 3Y in category
Volatility (3y)
14.95%
Downside dev (3y)
12.47%
Max drawdown (3y)
-18.5%
Sharpe (3y)
0.68
SIP XIRR (3y)
+9.95%
SIP XIRR (5y)
+14.77%
Calendar-year returns
2020 +17.8%2021 +32.0%2022 +8.3%2023 +30.9%2024 +25.5%2025 +6.7%

Fund facts

Fund managerHarsha Upadhyaya
AUM₹3,01,268 Cr
Expense ratio0.57% · 2026-05-31
TER · AMFI officialDirect 0.66% · Regular 1.65% (2026-06-30)
Launch date10-Sep-2004
Plan typeOpen Ended · Equity
Min lumpsum₹100
Min SIP₹100
Lock-inNone
Volatility15.41
AMCKotak Mahindra Asset Management Company Limited.

Objective · The investment objective of the scheme is to generate capital appreciation from a diversified portfolio of equity and equity related securities. The scheme will invest predominantly in a mix of large and mid cap stocks from various sectors, which look promising, based on the growth pattern in the economy. There is no assurance that the investment objective of the scheme will be achieved.

scheme documents ↗