Asset Allocation for Kotak Bond Fund - Regular Plan - Standard - Idcw Reinvestment Fund Growth
Top 10 Holdings of Kotak Bond Fund - Regular Plan - Standard - Idcw Reinvestment
75.22 % of total assets
Detailed Portfolio of Kotak Bond Fund - Regular Plan - Standard - Idcw Reinvestment
Portfolio Date -30 Apr 2025
Debt Holdings -51
Other Holdings -3
-
Equity Holdings
-
Debt Holdings
-
Other Holdings
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
16.24% | 345.889 Cr | ||
9.92% | 211.191 Cr | ||
9.73% | 207.296 Cr | ||
8.46% | 180.257 Cr | ||
7.05% | 150.051 Cr | ||
6.44% | 137.212 Cr | ||
5.54% | 117.921 Cr | ||
4.70% | 100.127 Cr | ||
4.70% | 100.042 Cr | - | |
2.44% | 51.926 Cr | ||
2.38% | 50.617 Cr | ||
1.35% | 28.839 Cr | ||
1.28% | 27.240 Cr | ||
1.19% | 25.408 Cr | ||
1.19% | 25.378 Cr | ||
1.19% | 25.359 Cr | ||
1.19% | 25.346 Cr | ||
1.18% | 25.049 Cr | ||
1.00% | 21.298 Cr | ||
0.99% | 20.987 Cr | ||
0.97% | 20.736 Cr | ||
0.95% | 20.123 Cr | ||
0.86% | 18.249 Cr | ||
0.62% | 13.188 Cr | ||
0.49% | 10.421 Cr | ||
0.30% | 6.369 Cr | ||
0.30% | 6.366 Cr | ||
0.30% | 6.352 Cr | ||
0.30% | 6.351 Cr | ||
0.30% | 6.344 Cr | ||
0.30% | 6.326 Cr | ||
0.30% | 6.325 Cr | ||
0.30% | 6.325 Cr | ||
0.30% | 6.324 Cr | ||
0.30% | 6.315 Cr | ||
0.29% | 6.102 Cr | ||
0.24% | 5.071 Cr | ||
0.24% | 5.062 Cr | ||
0.24% | 5.017 Cr | ||
0.24% | 5.000 Cr | ||
0.13% | 2.861 Cr | ||
0.13% | 2.661 Cr | ||
0.12% | 2.489 Cr | ||
0.11% | 2.297 Cr | ||
0.11% | 2.271 Cr | ||
0.11% | 2.257 Cr | ||
0.10% | 2.050 Cr | ||
0.10% | 2.021 Cr | ||
0.07% | 1.574 Cr | ||
0.00% | 0.004 Cr | ||
0.00% | 0.003 Cr |
Holdings | % Weight | Value | Sahi Hai/Nahi |
---|---|---|---|
1.47% | 31.388 Cr | - | |
0.33% | 7.022 Cr | ||
0.27% | 5.716 Cr |