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Fincash » Mutual Funds » Kotak Liquid Fund

Kotak Liquid Fund - G

NAV  ₹4,951.28 ↑ 0.95  (0.02 %) as on 26 Jul 24

Scheme Objective

Aims to provide reasonable returns and high level of liquidity by investing in debt instruments such as bonds, debentures, Government Securities, money market instruments such as treasury bills, commercial paper, certificate of deposit, including repos in permitted securities of different maturities so as to spread the risk across different kinds of issuers in the debt markets.

Kotak Liquid Fund is a Debt - Liquid Fund fund launched on 4 Nov 03. It is a fund with Low risk and has given a CAGR return of 6.9% since its launch.  Ranked 33 in Liquid Fund category.  Return for 2023 was 7% , 2022 was 4.7% and 2021 was 3.2% .

Below is the key information for Kotak Liquid Fund

NAV as on 26 Jul 24₹4,951.28 ↑ 0.95  (0.02 %)
Net Assets (AUM) as on 30 Jun 2024 ₹29,770 Cr.
Launch Date4 Nov 2003
CategoryDebt - Liquid Fund
Rating
TypeOpen Ended Fund
RiskLow
Yield To Maturity7.33%
Effective Maturity2 Months 1 Day
Modified Duration2 Months 1 Day
Alpha Ratio0.0
Expense Ratio0.24 %
Sharpe Ratio1.599
Information Ratio0.0
BenchmarkNot Available
ISININF174K01NI9
AMCKotak Mahindra Asset Management Co Ltd
Min Investment ₹5,000
Min SIP Investment ₹1,000
Exit Load NIL

Returns

Annual Compounded Returns

Returns up to 1 year are on absolute basis & more than 1 year are on CAGR (Compound Annual Growth Rate) basis. as on 26 Jul 24

DurationReturns
1 Month 0.6%
3 Month 1.7%
6 Month 3.7%
1 Year 7.3%
3 Year 5.8%
5 Year 5.1%
10 Year
15 Year
Since launch 6.9%

Historical Annual Returns

Historical performance (Yearly) on absolute basis

YearReturns
2023 7%
2022 4.7%
2021 3.2%
2020 4.1%
2019 6.5%
2018 7.4%
2017 6.7%
2016 7.6%
2015 8.3%

Growth of 10k Over Years

DateValue
30 Jun 19₹10,000
30 Jun 20₹10,542
30 Jun 21₹10,874
30 Jun 22₹11,258
30 Jun 23₹11,970
30 Jun 24₹12,836
Kotak Liquid Fund Growth 10k Chart

Asset Allocation

Asset ClassValue
Cash99.75%
Other0.25%
Kotak Liquid Fund Asset Allocation

Sector Allocation

SectorValue
Cash Equivalent55.33%
Corporate40.1%
Government4.33%
RatingValue
AAA100%
Kotak Liquid Fund Debt Allocation

Top Securities Holdings / Portfolio

Holdings/Securities

NameGlobal IndustryHoldingValueQuantity
Net Current Assets/(Liabilities)
Net Current Assets | -
19%-₹5,624 Cr
91 DTB 15082024
Sovereign Bonds | -
7%₹2,142 Cr216,000,000
HDFC Bank Limited
Certificate of Deposit | -
6%₹1,785 Cr180,000
↓ -20,000
8.4% Govt Stock 2024
Sovereign Bonds | -
5%₹1,507 Cr150,500,000
India (Republic of)
- | -
4%₹1,240 Cr125,500,000
Punjab National Bank
Certificate of Deposit | -
3%₹996 Cr100,000
National Bank For Agriculture And Rural Development
Commercial Paper | -
3%₹993 Cr20,000
↓ -8,000
Bank Of Baroda
Certificate of Deposit | -
3%₹990 Cr100,000
National Bank For Agriculture And Rural Development
Commercial Paper | -
3%₹989 Cr20,000
Punjab National Bank
Certificate of Deposit | -
3%₹988 Cr100,000
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Fund Managers

NameSinceTenure
Deepak Agrawal1 May 0717.18 Yr.
Palha Khanna3 Jul 231 Yr.

Custodians

CompanyAddress
Deutsche Bank AGDeutsche Bank AG,Kodak House, 22, D.N. Road,
Standard Chartered BankStandard Chartered Bank,1095 Avenue of the Americas,New York, NY 10036,USA

Registrar & Transfer Agent

Computer Age Management Services Ltd
AddressNew No.10, Old No.178,,Kodambakkam High Road,,Opp. Hotel Palmgrove,,Nungambakkam
FAX91-44-28283610
Emailenq_L@camsonline.com

Administrator Companies

CompanyAddress
Kotak Mahindra Mutual Fund27 BKC, C-27, G Block, Bandra Kurla Complex, Bandra (E),Mumbai - 400 051

Auditors

CompanyAddress
S. R. BATLIBOI & CoExpress Tower, 6th Floor,Nariman Point,Mumbai
M/s. Price WaterhouseIndia,252, Veer Savarkar Marg,,Next to Mayor's Bungalow, Shivaji Park,,Dadar,

All Plan & Options

Fund and PlanNAV6 Month1 Year3 Year5 Year
Kotak Liquid Fund
Growth
₹4,951.28
↑ 0.95
3.66 %7.26 %5.78 %5.13 %
Kotak Liquid Fund
Daily Dividend, Reinvestment
₹1,222.81
3.49 %6.82 %5.5 %4.68 %
Kotak Liquid Fund
Weekly Dividend, Reinvestment
₹1,000.48
↑ 0.07
1.65 %3.17 %3.99 %4.33 %
Data as on 17 Sep 21

Disclaimer:
All efforts have been made to ensure the information provided here is accurate. However, no guarantees are made regarding correctness of data.