Individual Fund

Kotak Dynamic Growth Fund

(ULIF-012-27/06/03-DYGWTFND-107)
Monthly Update January 2021



AS ON 31st December 2020

 

Aims for a high level of capital growth by holding a significant portion in large sized company equities.
Date of Inception
27th June 2003
AUM (in Lakhs)
6,136.10
NAV
96.9891
Fund Manager
Equity : Rohit Agarwal
Debt :Gajendra Manavalan
Benchmark Details
Equity - 80% (BSE 100);
Debt - 20% (Crisil Composite Bond)
Modified Duration
Debt & Money Market Instruments : 5.28
Asset Allocation
  Approved (%) Actual (%)
Equity 40 - 80 76
Gsec / Debt 20 - 60 22
MMI / Others 00 - 40 2
Performance Meter
  Kotak Dynamic Growth Fund (%) Benchmark (%)
1 month 5.2 6.5
3 months 17.0 19.3
6 months 25.6 28.6
1 year 12.6 15.5
2 years 12.4 12.7
3 years 7.8 9.1
4 years 11.9 13.1
5 years 10.9 11.5
6 years 9.8 9.4
7 years 12.9 11.9
10 years 9.7 9.1
Inception 13.8 13.0
Past performance is not necessarily indicative of future performance
Holdings % to Fund
Equity 76.21
Infosys Ltd 6.25
Reliance Industries Ltd 5.08
SBI ETF Nifty Bank 4.91
ICICI Bank Ltd 4.84
HDFC Bank Ltd 3.88
Tata Consultancy Services Ltd 3.18
Kotak Banking ETF - Dividend Payout Option 2.92
Bharti Airtel Ltd 2.48
Hindustan Unilever Ltd 2.26
Housing Development Finance Corp. Ltd 2.16
Maruti Suzuki India Ltd 1.88
Larsen And Toubro Ltd 1.84
S R F Ltd 1.82
Mahindra & Mahindra Ltd 1.67
HCL Technologies Ltd 1.56
Dr Reddys Laboratories Ltd 1.48
Axis Bank Ltd 1.40
P I Industries Ltd 1.28
Bajaj Finance Ltd 1.25
Coromandel International Ltd 1.20
Others 22.88
G-Sec 14.11
7.16% GOI - 20.09.2050 1.99
6.22% GOI - 16.03.2035 1.77
5.22% GOI - 15.06.2025 1.16
8.17% GOI - 01.12.2044 1.06
6.79% GOI - 15.05.2027 0.94
6.65% Fertilizer Co GOI - 29.01.23 0.85
8.30% GOI - 02.07.2040 0.78
8.70% REC - 28.09.2028 0.75
7.72% GOI - 26.10.2055 0.73
8.15% GOI FCI Bonds - 16.10.22 0.66
Others 3.42
Corporate Debt 7.94
7.20% HDFC - 13.04.2023 6.28
8.56% REC - 29.11.2028 0.56
8.65% PFC - 28.12.2024 0.54
9.02% REC - 19.11.2022 0.35
9.75% REC - 11.11.2021. 0.17
4.25% HDFC Bank FD NSE - 09.08.2021 0.04
MMI 0.57
NCA 1.17

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