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Corporate Solutions

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Who are we?
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Who are we?
Part of a reputed conglomerate - Wholly owned subsidiary of Kotak Mahindra Bank Limited
5th
5th Largest Mutual Fund- Based on Quarterly AUM as of Jun 2026
Long Experience - Started operations in Dec 1998
Robust distribution network - A comprehensive distribution channel with over 99,000 empanelled distributors
Robust distribution network - A comprehensive distribution channel with over 99,000 empanelled distributors
Large Investor base - Over 1.54 Crore Investor Folios
Complete product bouquett-
Offers schemes catering to investors with varying risk- return profiles
Assets Under Management
As per the quarterly average AUM for the Third quarter of 2020, 2021, 2022, and 2023 (in INR Cr)
Kotak Mutual Fund, on back of its fund performances, is one of the fastest growing* fund houses in India

OUR FUNDS  

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  • Trending Funds
  • Hybrid
  • Equity
  • FOF
  • Debt
  • Passive
  • FMP
  • Tax Saver
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  • Trending Funds
  • Hybrid
  • Equity
  • FOF
  • Debt
  • Passive
  • FMP
  • Tax Saver

Kotak Multi Asset Allocation Fund

Hybrid

Returns in CAGR as of Sep 03, 2026

Returns in CAGR as of Sep 03, 2026

18.39%

Investment Theme
Asset Allocation

Very High
Risk
Very High RiskInfoIcon
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Kotak Multi Cap Fund

Equity

Returns in CAGR as of Sep 04, 2026

Returns in CAGR as of Sep 04, 2026

17.69%

Investment Theme
Multicap

Very High
Risk
Very High RiskInfoIcon
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Kotak Flexi Cap Fund

Equity

Returns in CAGR as of Sep 04, 2026

Returns in CAGR as of Sep 04, 2026

12.55%

Investment Theme
Flexicap

Very High
Risk
Very High RiskInfoIcon
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Kotak Pioneer Fund

Equity

Returns in CAGR as of Sep 03, 2026

Returns in CAGR as of Sep 03, 2026

20.30%

Investment Theme
Sectoral-Thematic

Very High
Risk
Very High RiskInfoIcon
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Kotak Income Plus Arbitrage Omni FOF

FOF

Returns in CAGR as of Sep 04, 2026

Returns in CAGR as of Sep 04, 2026

7.65%

Investment Theme
FOF

Moderate
Risk
Moderate RiskInfoIcon
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Kotak Gold Silver Passive FOF

FOF

Simple Annualized Return as of Sep 04, 2026

Simple Annualized Return as of Sep 04, 2026

-14.75%

Investment Theme
FOF

Very High
Risk
Very High RiskInfoIcon
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Kotak Business Cycle Fund

Equity

Returns in CAGR as of Sep 04, 2026

Returns in CAGR as of Sep 04, 2026

16.77%

Investment Theme
Equity

Very High
Risk
Very High RiskInfoIcon
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Kotak Equity Savings Fund

Hybrid

Returns in CAGR as of Sep 04, 2026

Returns in CAGR as of Sep 04, 2026

10.65%

Investment Theme
Equity Savings

Moderate High
Risk
Moderate High RiskInfoIcon
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Kotak Balanced Advantage Fund

Hybrid

Returns in CAGR as of Sep 04, 2026

Returns in CAGR as of Sep 04, 2026

10.32%

Investment Theme
Dynamic Asset Allocation

Very High
Risk
Very High RiskInfoIcon
Know More

Kotak Consumption Fund

Equity

Returns in CAGR as of Sep 04, 2026

Returns in CAGR as of Sep 04, 2026

14.44%

Investment Theme
Thematic

Very High
Risk
Very High RiskInfoIcon
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Our Team
Directors Trustee Company
Directors Asset Management Company
Key EmployeesAsset Management Company
Fund Managers Asset Management Company
documents
To know more: Download ‘Corporate Brochure’

Frequently Asked Questions

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Reach Out To Us

  • Write to Kotak Mutual Fund customer support
    Write to Us
  • Call Kotak Mutual Fund customer support
    18003091490 / 044-40229101

    (Monday to Friday between 9.30am to 6.00 pm & Saturday between 9.30am to 12.30pm)

  • Kotak Mutual Fund may contact you from numbers starting with 1600 for important service and folio-related updates.

  • SEBI Registered Name - Kotak Mahindra Mutual Fund

  • SEBI Registered Number - MF/038/98/1

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Most Searched Funds:

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Mutual fund investments are subject to market risks, read all scheme related documents carefully.

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