All funds
Kotak Mahindra Mutual Fund · Medium to Long Duration Fund
Kotak Bond-Deposit-Growth
₹42.9354NAV 2016-10-21
Regular PlanGrowthSince 2006-04-0210.1y historyINF174K01EJ6
NAV History
2011-10-24 → 2016-10-21
+62.07%
Returns vs Category
1M
3M
6M
1Y
3Y
5Y
10Y
Fund
+1.4%
+4.4%
+8.2%
+11.5%
+10.7%
+10.1%
+8.9%
Risk Metrics
Sharpe
0.47
Sortino
0.68
Max DD
-10.1%
Volatility
+4.0%
Best Year
+21.0%
Worst Year
-0.0%
SIP / Lumpsum Calculator
₹
Risk & Portfolio
Avg AUM
-
AUM as of
-
Volatility (annualised)
+4.0%
Max drawdown
-10.1%
Sharpe ratio
0.47
Sortino ratio
0.68
Calmar ratio
1.07
Positive months
77%
Best year
+21.0%
Worst year
-0.0%
Peers — Medium to Long Duration Fund
BANK OF INDIA Conservative Hybrid Fund Fund-Direct Plan-Growth
Bank of India Mutual Fund
+7.6%
3Y
₹9 Cr
AUM
0.26
Sharpe
ICICI Prudential Bond Fund - Direct Plan - Growth
ICICI Prudential Mutual Fund
+6.7%
3Y
₹1,813 Cr
AUM
0.30
Sharpe
LIC MF Medium to Long Duration Fund-Direct Plan-Growth
LIC Mutual Fund
+6.7%
3Y
₹88 Cr
AUM
0.04
Sharpe
Kotak Bond Fund - Growth - Direct
Kotak Mahindra Mutual Fund
+6.5%
3Y
₹1,347 Cr
AUM
0.18
Sharpe
SBI Medium to Long Duration Fund-DIRECT PLAN -Growth
SBI Mutual Fund
+6.4%
3Y
₹684 Cr
AUM
0.31
Sharpe
Nippon India Medium to Long Duration Fund - Direct Plan Growth Plan - Growth Option
Nippon India Mutual Fund
+6.2%
3Y
₹152 Cr
AUM
0.23
Sharpe
JM Medium to Long Duration Fund (Direct) - Growth Option
JM Financial Mutual Fund
+6.1%
3Y
₹22 Cr
AUM
-0.31
Sharpe
HDFC Income Fund - Growth Option - Direct Plan
HDFC Mutual Fund
+6.1%
3Y
₹380 Cr
AUM
0.04
Sharpe
Returns derived from daily AMFI NAV. Sub-1Y returns are point-to-point; 3Y+ are CAGR. Sharpe and Sortino computed against a 7% annualised risk-free rate (0.07). Past performance does not guarantee future results.