”Kotak



Group Fund

Kotak Group Pension Bond Fund

(ULGF02109/05/22KGRPNBOFND107)
MONTHLY UPDATE MAY 2024


AS ON 30th April 2024

 

Return is expected to be in line with those of fixed interest instruments, and may provide little protection against unexpected inflation increases.
Date of Inception
02nd January 2023
AUM (in Lakhs)
6,748.11
NAV
10.9248
Fund Manager
Debt : Manoj Bharadwaj
Benchmark Details
Debt- 100% (Crisil Composite Bond)
Modified Duration
Debt & Money Market Instruments : 6.06
Asset Allocation
  Approved (%) Actual (%)
Gsec 00 - 75 59
Debt 25 - 100 36
MMI / Others 00 - 40 5
Performance Meter
  Kotak Group Pension Bond Fund (%) Benchmark (%)
1 month -0.4 -0.1
3 months 1.6 1.7
6 months 4.5 4.3
1 year 6.3 6.8
2 years n.a. n.a.
3 years n.a. n.a.
4 years n.a. n.a.
5 years n.a. n.a.
6 years n.a. n.a.
7 years n.a. n.a.
10 years n.a. n.a.
Inception 6.9 7.5
Past performance is not necessarily indicative of future performance
Holdings % to Fund
G-Sec 59.12
7.18% GOI - 14.08.2033 15.76
7.25% GOI - 12.06.2063 9.65
7.30% GOI - 19.06.2053 7.27
7.18% GOI - 24.07.2037 6.77
7.10% GOI - 08.04.2034 4.02
7.45% MH SDL - 20.03.2038 2.95
7.37% GOI - 23.10.2028 1.86
7.36% GOI - 12.09.2052 1.63
7.41% AP SDL 26.04.2030 1.48
7.48% UP SDL - 20.03.2036 1.48
Others 6.26
Corporate Debt 36.12
7.58% PFC - 15.01.2026 4.43
7.15% SIDBI - 02.06.2025 4.42
6.00% HDFC BANK - 29.05.2026 4.28
8.65% Cholamandalam Invest and Fin co ltd - 28.02.2029 3.03
7.60% PFC - 25.08.2033 Series 223C 2.24
7.56% REC - 30.06.2026 2.21
7.73% LIC Housing Finance - 22.03.2034 PUT 22.04.2027 1.50
8.60% Bharti Telecom Limited Series XIV - 12.12.2025 1.48
7.50% NABARD - 17.12.2025 1.47
7.43% NABFID - 16.06.2033 1.47
Others 9.59
MMI 1.33
NCA 3.42
”April

**NIC 2008 - Industrial sector as defined under National Industrial Classification 2008.



”Performance