← Kotak Mahindra Mutual Fund
Kotak Hybrid Fixed Term Plan Series 2 - Direct Plan - Diviedend
Close Ended Schemes(Income)ISIN INF174K01TK2
NAV · 30-Jan-2017
₹12.9476
1M
+1.41%
6M
+2.88%
1Y (CAGR)
+9.12%
3Y (CAGR)
+9.26%
5Y (CAGR)
—
Since inception (CAGR)
+9.22%
NAV history
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Risk & SIP analytics
Q1 · TOP · 3Y in categoryVolatility (3y)
2.84%
Downside dev (3y)
2.03%
Max drawdown (3y)
-1.9%
Sharpe (3y)
0.97
SIP XIRR (3y)
+7.55%
Calendar-year returns
2015 +5.6%2016 +6.9%
Fund facts
Launch date07-Jan-2014
Min lumpsum5000
AMCKotak Mahindra Asset Management Company Limited.