”Kotak



Individual Fund

Kotak Advantage Multiplier Fund II

(ULIF-026-21/04/06-ADVMULFND2-107)
MONTHLY UPDATE MAY 2025


AS ON 30TH APRIL 2025

 

Aims for a high level of capital growth by holding a significant portion in equities. May experience high levels of shorter term volatility (downside risk).
Date of Inception
21st April 2006
AUM (in Lakhs)
0.48
NAV
21.2449
Fund Manager
Equity : Rohit Agarwal
Debt : Manoj Bharadwaj
Benchmark Details
Equity - 50% (Nifty);
Debt - 50% (Crisil Composite Bond)
Modified Duration
Debt & Money Market Instruments : 2.09
Asset Allocation
  Approved (%) Actual (%)
Equity 00 - 100 0
Gsec / Debt 00 - 100 82
MMI / Others 00 - 40 18
Performance Meter
  Kotak Advantage Multiplier Fund II (%) Benchmark (%)
1 month 0.9 2.6
3 months 1.7 3.6
6 months 2.5 3.0
1 year 4.9 9.5
2 years 3.5 12.6
3 years 3.1 10.4
4 years 2.0 10.2
5 years 1.7 13.4
6 years 2.4 10.8
7 years 2.8 10.5
10 years 2.8 10.0
Inception 4.0 9.6
Past performance is not necessarily indicative of future performance
Holdings % to Fund
G-Sec 82.29
7.17% GOI - 08.01.2028 75.16
9.20% GOI - 30.09.2030 7.13
MMI 0.00
NCA 17.71
”April

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



”Performance