Kotak Debt Hybrid Reg-G

Fund Category: Conservative Hybrid

Fund Category Conservative Hybrid

Moderately High Hybrid G

4 Morning Star

3 Value Research

NAV( 17 Dec 2025)

₹ 59.18
-0.11%

Kotak Debt Hybrid Reg-G

Invest now

Performance

9.76%3y Returns

-0.06% 1D Returns

Investment details

  • Min SIP amount

    ₹ 100
  • Min Lumpsum

    ₹ 100
  • Lock In

    0
  • Expense ratio

    1.66%
  • Exit load

    1% Exit load for units in excess of 8% of the investment,1% will be charged for redemption within 6 months.
    L After 365 days

Fund details

View Fund Documents
  • Fund size

    ₹ 3,132 Cr
  • Plan

    REGULAR
  • Launch date

    20 Oct 2003
  • Fund type

    OPEN
  • Fund benchmark

    CRISIL Hybrid 85+15 Conservative Index
  • ISIN

    INF174K01393

Fund allocation

Asset allocation

Company holdings
Company Allocation %
National Bank For Agriculture & Rural Development SR 26B Bonds 6.85 19/01/2029 0.8%
REC Ltd SR 239 Bonds 03/11/2034 0.69%
Mahindra Lifespace Developers Ltd 0.14%
Maruti Suzuki India Ltd 1.31%
Mphasis Ltd 0.46%
Ambuja Cements Ltd 0.35%
Radico Khaitan Ltd 0.38%
Reliance Industries Ltd 0.98%
Indian Railway Finance Corporation Ltd SR-118 Bonds 7.83 21/03/2027 0.11%
National Housing Bank Bonds 6.80 02/04/2032 1.91%
Max Healthcare Institute Ltd 0.57%
Britannia Industries Ltd 0.57%
Century Plyboards (India) Ltd 0.32%
NTPC Ltd 0.85%
PI Industries Ltd 0.11%
Life Insurance Corporation of India 0.17%
Uttar Pradesh Power Corporation Ltd SR II C Debenture 9.95 31/03/2027 0.01%
Power Finance Corporation Ltd SR BS221B Debenture 7.59 17/01/2028 0.07%
National Bank For Agriculture & Rural Development SR 23I Debenture 7.62 31/01/2028 0.13%
Power Finance Corporation Ltd SR 223 Debenture 7.64 22/02/2033 0.49%
National Bank For Agriculture & Rural Development SR-1 NCD 8.22 25/02/2028 0.23%
Indian Railway Finance Corporation Ltd SR 140 NCD 7.48 13/08/2029 0.14%
Interglobe Aviation Ltd 0.47%
State Bank of India 1.11%
LIC Housing Finance Ltd Debenture 7.9265 14/07/2027 0.16%
Bharti Telecom Ltd SR XIII Debenture 8.70 05/12/2025 0.8%
GOI Sec 06/05/2038 0.28%
GOI Sec 15/04/2038 0.4%
GOI Sec 15/04/2045 0.24%
GOI Sec 7.09 05/08/2054 3.26%
GOI Sec 7.30 19/06/2053 5.74%
GOI Sec 6.68 07/07/2040 0.47%
GOI Sec 25/05/2041 0.06%
GOI Sec 25/05/2043 0.19%
GOI Sec 25/05/2040 0.06%
GOI Sec 25/11/2040 0.06%
JB Chemicals & Pharmaceuticals Ltd 0.43%
Shivshakti Securitisation Trust Sec. Debt 2.43%
Siddhivinayak Securitisation Trust Sec. Debt 2.43%
Fortis Healthcare Ltd 0.36%
GAIL (India) Ltd 0.37%
Tech Mahindra Ltd 0.94%
GOI Sec 25/11/2035 0.51%
GOI Sec 25/05/2037 0.08%
GOI Sec 25/05/2038 0.07%
GOI Sec 25/11/2038 0.07%
GOI Sec 22/04/2036 0.16%
GOI Sec 25/05/2036 0.09%
GOI Sec 6.67 17/12/2050 0.0%
GOI Sec 6.90 15/04/2065 3.44%
GOI Sec 7.17 17/04/2030 0.16%
GOI Sec 7.26 06/02/2033 0.04%
GOI Sec 7.34 22/04/2064 16.98%
Repo 10.75%
Power Finance Corporation Ltd SRV CATIII&IV FRD 22/01/2031 0.2%
Axis Bank Ltd 0.7%
Bank Of Baroda 0.93%
Pokarna Ltd 0.2%
Power Finance Corporation Ltd 0.4%
Swiggy Ltd 0.46%
VST Tillers Tractors Ltd 0.36%
Divi's Laboratories Ltd 0.39%
LG Electronics India Ltd Equity 0.1%
Hindustan Petroleum Corporation Ltd 0.53%
Jubilant FoodWorks Ltd 0.14%
Power Grid Corporation of India Ltd Debenture 7.20 09/08/2027 0.05%
Bharti Airtel Ltd PPE 0.06%
JTPM Metal Traders Ltd Debenture 30/04/2030 3.28%
Power Finance Corporation Ltd SERIES 187(B) Bonds/NCD 8.85 25/05/2029 0.15%
HDFC Bank Ltd 1.51%
Indian Bank 0.38%
NUVOCO Vistas Corp Ltd CP 26-D 24/12/2025 1.59%
Power Grid Corporation of India Ltd Debenture 7.30 19/06/2027 0.07%
Bharti Telecom Ltd SR XIX Debenture 8.65 05/11/2027 0.82%
GOI CGL 7.09 25/11/2074 4.81%
Uttar Pradesh State SDL 7.91 27/10/2037 0.0%
Madhya Pradesh State SDL 7.65 01/11/2027 0.16%
Tamilnadu State SDL 7.17 27/02/2033 0.32%
Tamilnadu State SDL 8.05 18/04/2028 0.07%
Bihar State SDL 6.88 09/07/2035 0.16%
Bihar State SDL 6.90 16/07/2035 2.19%
Maharashtra State SDL 7.84 13/07/2026 0.1%
Andhra Pradesh State SDL 6.57 01/07/2030 0.16%
Hero Motocorp Ltd 1.43%
Hexaware Technologies Ltd 0.18%
Infosys Ltd 0.55%
ITC Ltd 0.28%
United Spirits Ltd 0.27%
ICICI Bank Ltd 1.04%
DEE Development Engineers Ltd 0.08%
Cipla Ltd 0.24%
Poonawalla Fincorp Ltd 0.4%
Net Current Assets 1.8%
Jyoti CNC Automation Ltd 0.32%
Telangana State Industrial Infrastructure Corporation Ltd SR I 2024-25 C Debenture 9.35 31/12/2029 1.01%
Telangana State Industrial Infrastructure Corporation Ltd SR I 2024-25 B Debenture 9.35 29/12/2028 1.81%
Telangana State Industrial Infrastructure Corporation Ltd SR I 2024-25 A Debenture 9.35 31/12/2027 1.07%
Power Grid Corporation of India Ltd Debenture 8.40 27/05/2028 0.06%
Punjab State SDL 7.96 27/04/2026 0.1%
Kerala State SDL 7.98 11/05/2026 0.05%
Andhra Pradesh State SDL 8.29 13/01/2026 0.06%
Maharashtra State SDL 7.96 29/06/2026 0.08%
Bihar State SDL 7.52 10/09/2036 0.33%
Bihar State SDL 7.45 10/09/2034 1.14%
Maharashtra State SDL 7.45 20/03/2038 0.16%
Maharashtra State SDL 20/03/2037 0.65%
Indus Infra Trust InvITs 0.05%
CDMDF Class A2 0.28%
Tenneco Clean Air India Ltd 0.07%
Bharti Airtel Ltd 1.5%
REC Ltd SR I Debenture 8.09 21/03/2028 0.06%
REC Ltd SR I Debenture 8.01 24/03/2028 0.2%
Power Finance Corporation Ltd SR-177 Debenture 7.85 03/04/2028 0.06%
REC Ltd SR 231B Debenture 7.47 28/02/2034 0.82%
HDB Financial Services Ltd SR 212 Debenture 8.3439 05/07/2027 0.16%
Sectors
Company Allocation %
Others 27.09%
Construction 0.19%
Automobile 3.17%
Consumer Staples 1.50%
Materials 2.46%
Financial 13.07%
Capital Goods 0.33%
Consumer Discretionary 0.10%
Chemicals 0.11%
Services 1.15%
Sovereign 37.17%
Energy 2.91%
Technology 2.13%
Insurance 0.17%
Metals & Mining 3.28%
Healthcare 1.99%
Communication 3.18%

Risk Associated

Moderately High
  • Investors be aware that principal under this fund will be at Moderately High risk
  • This product is suitable for investors who are seeking capital appreciation over long term

Contact Information

Address:

About

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.�

  • Funds Offered

    63
  • AUM

    ₹ 1,55,073 Cr
  • Highest Return

    34.25%
About

Abhishek Bisen Fund Manager - Role of a fund manager includes buying and selling of securities based on their research and analysis. Check out the mutual fund managers across all the categories for best guidance now

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