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Kotak Asset Allocator Fund

NAV (direct) : 118.4750

(117.8930)

NAV (regular) : 113.8220

(113.2660)
Other - Fund Of Funds
Last Updated on 02-Mar-2021

Kotak Asset Allocator Fund net asset value or NAV jumped from 117.8930 to 118.4750 since last working day

Kotak Asset Allocator Fund last 1 year returns is 30.29%

Kotak Asset Allocator Fund last 3 year returns is 15.57%

Kotak Asset Allocator Fund last 5 year returns is 15.14%

Kotak Asset Allocator Fund returns since launch is 14.53%

Kotak Asset Allocator Fund asset under management or AUM is 162.19 crores

Kotak Asset Allocator Fund one year annualised return is 30.29 compared to benchmark NIFTY 50 Hybrid Composite debt 50:50 Index one year annualised return of 18.83

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