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Fund Category Corporate Bond
0 Morning Star
0 Value Research
NAV( )
Min SIP amount
Min Lumpsum
Lock In
Expense ratio
Exit load
Fund size
Plan
Launch date
Fund type
Fund benchmark
ISIN
Company | Allocation % |
---|---|
C Strips GOI Sec 12.04 12/04/2026 | 0.02% |
GOI Sec 7.18 14/08/2033 | 13.23% |
GOI Sec 4.45 30/10/2034 | 3.74% |
Tata Capital Financial Services Ltd SR N Debenture 7.95 08/02/2028 | 0.07% |
LIC Housing Finance Ltd Debenture 7.75 23/08/2029 | 0.89% |
Mindspace Business Parks REIT Debenture 7.75 30/06/2026 | 0.71% |
National Bank For Agriculture & Rural Development SR 24B Debenture 7.49 15/10/2026 | 0.04% |
Small Industries Devp. Bank of India Ltd SR V Bonds 7.51 12/06/2028 | 1.41% |
National Bank For Agriculture & Rural Development SR 25C Bonds 7.44 24/02/2028 | 2.96% |
National Bank For Agriculture & Rural Development SR 25B Bonds 7.64 06/12/2029 | 0.18% |
Tata Capital Housing Finance Ltd SR C Bonds 8.0409 19/03/2027 | 0.35% |
Food Corporation of India Bonds 8.80 22/03/2028 | 0.91% |
REC Ltd SR-147 Bonds 7.95 12/03/2027 | 0.36% |
National Housing Bank Bonds 7.14 17/11/2034 | 0.14% |
Tata Capital Housing Finance Ltd SR A Bonds 8.05 18/06/2029 | 0.71% |
DME Development Ltd SR I STRRPS VII Debenture 16/03/2034 | 0.08% |
National Bank For Agriculture & Rural Development SR F24 Debenture 7.68 30/04/2029 | 0.32% |
Sikka Ports and Terminals Ltd SR-PPD-7 Debenture 7.90 18/11/2026 | 0.21% |
Sikka Ports and Terminals Ltd SR-PPD-6 Debenture 7.95 28/10/2026 | 1.31% |
National Bank For Agriculture & Rural Development SR 24H Debenture 7.62 10/05/2029 | 1.24% |
Small Industries Devp. Bank of India Ltd SR IX Debenture 7.68 10/08/2027 | 0.71% |
Mahanagar Telephone Nigam Ltd SR V/ Debenture 11/10/2030 | 0.34% |
REC Ltd SR XII Debenture 6.45 07/01/2031 | 0.92% |
Power Finance Corporation Ltd SR 237A NCD 7.60 13/04/2029 | 1.88% |
Tata Capital Financial Services Ltd SR D STRPP I NCD 8.098 22/01/2027 | 0.36% |
L&T Metro Rail (Hyderabad) Ltd SR B NCD 6.58 30/04/2026 | 0.87% |
Jamnagar Utilities and Power Pvt. Ltd SR PPD 6 NCD 6.40 29/09/2026 | 4.12% |
Tamilnadu State SDL 7.84 13/07/2026 | 0.02% |
Power Finance Corporation Ltd SR 242A Debenture 7.27 15/10/2031 | 0.88% |
Tata Capital Housing Finance Ltd SR C Debenture 7.86 21/09/2029 | 0.71% |
Can Fin Homes Ltd Debenture 8.25 21/05/2027 | 0.71% |
India Grid Trust SR M NCD 6.72 14/09/2026 | 0.31% |
Nuclear Power Corpn. Of India Ltd NCD 7.70 | 0.54% |
REC Ltd SR 220-A NCD 7.77 31/03/2028 | 0.18% |
SMFG India Credit Company Ltd SR 109 OP I NCD 8.30 30/06/2027 | 0.71% |
Power Finance Corporation Ltd SR 238 NCD 7.55 15/04/2027 | 1.41% |
Maharashtra State SDL 7.63 31/01/2035 | 0.65% |
Net Current Assets | 2.93% |
GOI GOI FRB 22/09/2033 | 2.67% |
LIC Housing Finance Ltd Fixed Deposits 7.67 15/04/2033 | 3.24% |
REC Ltd SR 216A Debenture 7.55 31/03/2028 | 0.67% |
Power Finance Corporation Ltd SR BS221B Debenture 7.59 17/01/2028 | 0.71% |
Nomura Fixed Income Securities Pvt. Ltd SR 1 NCD 8.25 25/06/2027 | 0.36% |
Power Finance Corporation Ltd SR 210 A TR NCD 6.35 30/06/2025 | 0.04% |
LIC Housing Finance Ltd NCD 7.75 23/11/2027 | 1.24% |
REC Ltd Debenture 7.34 | 0.35% |
GOI Sec 7.02 18/06/2031 | 0.98% |
GOI Sec 7.17 17/04/2030 | 0.09% |
ICICI Bank Ltd SERIES DFE20T2 Additional Tier 2 Bo 7.10 17/02/2030 | 0.35% |
CDMDF Class A2 | 0.24% |
Sansar Trust SERIES A1) 20/01/2027 (MAT Sec. Debt 20/01/2027 | 0.49% |
India Infradebt Ltd SR I TR VII Debenture 7.92 06/06/2030 | 0.53% |
HDFC Bank Ltd SR US006 Debenture 7.75 13/06/2033 | 1.15% |
HDFC Bank Ltd SR U005 9 Debenture 29/11/2028 | 0.66% |
HDFC Bank Ltd SR AB001 Debenture 7.69 27/01/2033 | 2.64% |
Jamnagar Utilities and Power Pvt. Ltd SR PPD7 Debenture 7.90 10/08/2028 | 1.43% |
GOI Sec 7.10 08/04/2034 | 6.38% |
Repo | 0.22% |
Sansar Trust SERIES A1 PTC Sec. Debt 25/06/2030 | 1.77% |
Sansar Trust Sec. Debt | 0.21% |
Mindspace Business Parks REIT Debenture 8.02 13/04/2026 | 0.35% |
REC Ltd SR 201B Debenture 6.90 31/03/2031 | 0.34% |
National Bank For Agriculture & Rural Development SR 24E Debenture 7.80 15/03/2027 | 3.39% |
Small Industries Devp. Bank of India Ltd SR VII Debenture 7.75 10/06/2027 | 1.24% |
Mahindra & Mahindra Financial Services Ltd SR AA Debenture 25/03/2027 | 0.89% |
Tata Capital Housing Finance Ltd SR D OP II Debenture 7.80 05/08/2027 | 0.35% |
Small Industries Devp. Bank of India Ltd SR II Bonds/NCD 7.47 05/09/2029 | 1.06% |
Bajaj Housing Finance Ltd Bonds/NCD 7.85 01/09/2028 | 0.18% |
India Universal Trust AL1 SERIES A3 PTC Sec. Debt | 2.06% |
Bajaj Finance Ltd Debenture 7.82 31/01/2034 | 3.09% |
HDB Financial Services Ltd SR 212 Debenture 8.3439 05/07/2027 | 0.36% |
National Bank For Agriculture & Rural Development SR 25A Debenture 7.70 30/09/2027 | 0.28% |
Mahindra & Mahindra Financial Services Ltd SR AB Debenture 31/05/2029 | 2.14% |
Fullerton India Home Finance Ltd Debenture 0.0825 | 1.41% |
Small Industries Devp. Bank of India Ltd SR V Debenture 7.83 24/11/2028 | 1.18% |
Small Industries Devp. Bank of India Ltd SR VI Debenture 7.79 14/05/2027 | 2.45% |
DME Development Ltd SR I STRRPS X Debenture 16/03/2037 | 0.08% |
DME Development Ltd SR I STRRPS IX Debenture 17/03/2036 | 0.08% |
DME Development Ltd SR I STRRPS I Debenture 16/03/2028 | 0.07% |
DME Development Ltd SR I STRRPS II Debenture 16/03/2029 | 0.07% |
DME Development Ltd SR I STRRPS VI Debenture 16/03/2033 | 0.08% |
DME Development Ltd SR I STRRPS V Debenture 16/03/2032 | 0.07% |
DME Development Ltd SR I STRRPS IV Debenture 17/03/2031 | 0.07% |
DME Development Ltd SR I STRRPS III Debenture 18/03/2030 | 0.07% |
DME Development Ltd SR I STRRPS VIII Debenture 16/03/2035 | 0.08% |
Pipeline Infrastructure (India) Pvt. Ltd SR 3 Debenture 7.96 11/03/2029 | 1.78% |
Food Corporation of India SERIES VII Debenture 8.95 01/03/2029 | 0.41% |
India Grid Trust SR Y Debenture 7.87 24/02/2027 | 0.36% |
HDB Financial Services Ltd SR A 1 FX Debenture 7.65 10/09/2027 | 1.05% |
LIC Housing Finance Ltd Debenture 7.9265 14/07/2027 | 0.53% |
REC Ltd SR 236-B Debenture 7.56 31/08/2027 | 0.88% |
India Universal Trust AL1 SERIES A3 PTC Sec. Debt | 0.66% |
India Universal Trust AL1 Sec. Debt 8.20 20/09/2030 | 1.4% |
Company | Allocation % |
---|---|
Others | 10.65% |
Construction | 4.99% |
Sovereign | 27.11% |
Consumer Staples | 1.32% |
Energy | 2.06% |
Financial | 49.37% |
Capital Goods | 6.22% |
Communication | 0.34% |
Funds Offered
AUM
Website
Kotak Mahindra Asset Management Company Limited (KMAMC), a wholly owned subsidiary of Kotak Mahindra bank Limited. KMAMC started operations in December 1998 and has approximately 21 Lac investors. They offer schemes catering to investors with varying risk - return profiles and was the first fund house in the country to launch a dedicated gilt scheme investing only in government securities. They have presence in 82 cities and has 86 branches. Their vision is to be a responsible player in the Indian mutual fund space, always striving to offer best in class products across investor lifecycle.�
The current NAV of Kotak Corporate Bond Ret-IDCWM Payout is ₹ -
The expense ratio of Kotak Corporate Bond Ret-IDCWM Payout is 0.5%
To redeem, follow the steps below:
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2. Click on the "Portfolio" button on the bottom left of the home screen.
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4. Click on the three dots (⋮) next to the fund you want to redeem.
5. Click "Redeem" from the list to complete the process.
To invest, follow the steps below:
1. Login to your Moneyfy Account by Tata Capital.
2. Click on the "Mutual Funds" button on the home screen.
3. Search for the fund name in the search bar at the top of the screen.
4. Click on the "Invest Now" button at the bottom.
5. Choose between SIP or Lumpsum option, enter the amount you wish to invest, and then click
on "Proceed to pay".
6. Complete the payment and OTP process to confirm your investments.
Secure your future with hassle-free investing on Moneyfy!
You can invest in Both SIP & Lumpsum in Kotak Corporate Bond Ret-IDCWM Payout based on your investment objective and risk profile.
For Kotak Corporate Bond Ret-IDCWM Payout, 3-year return is -% per annum and 5-year return is -% per annum. Check the return performance in detail on the page.
The lock-in-period of Kotak Corporate Bond Ret-IDCWM Payout is 0 years.
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2 Morning Star
2 Value Research
2 Morning Star
2 Value Research
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3 Morning Star
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4 Morning Star
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4 Morning Star
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3 Morning Star
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4 Morning Star
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2 Morning Star
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2 Morning Star
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4 Morning Star
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2 Morning Star
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4 Morning Star
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2 Morning Star
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2 Morning Star
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3 Morning Star
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5 Morning Star
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3 Morning Star
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4 Morning Star
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4 Morning Star
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NAV
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