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KOTAK INDIA FIXED INCOME FUND

Medium RiskDIVERSIFIED
Issued by: Kotak India
Unit Price (NAV) : $
Minimum investment: $
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KOTAK INDIA FIXED INCOME FUND

Returns

Returns1Y
KOTAK INDIA FIXED INCOME FUND 3.30%

Fund Strategy

The investment objective of this Kristal is to generate returns by primarily investing in debt securities issued by central or state governments or issued by companies of Indian origin who derive a significant portion of their business from India. The strategy is managed by Kotak Mahindra Asset Management which is a MAS regulated Asset Management Company. This strategy is ideal for investors looking to gain exposure to Fixed Income asset class in India.

Scheme Information

Start Date Jun, 2019
Sharpe 0.45
Volatility 6.29%
Max drawdown -4.26%

Dealing Information

Subscription & redemption: Daily
Valuation: Daily
Notice period for subscription: 1 business day
Notice period of redemption: 1 business day

About Kotak India

The international subsidiaries of Kotak manage a wide range of India investment funds through which overseas investors can invest in India. The Kotak Group extends its services through offices in London, New York, Dubai and Mauritius and Singapore. We specialize in providing services to overseas investors seeking to invest in India. Investors can access the asset management capabilities of the international subsidiaries through funds domiciled outside India.

KOTAK INDIA FIXED INCOME FUND