Kotak Fmp Series 310

Kotak MahindraEquity FundMutual Fund1 HoldingsHigh
NAV
β‚Ή12.33Net Asset Value per unit
Top Sector
SOVHighest portfolio allocation

Asset Allocation

Equity100.0%
Equity100.0%

Quarterly comparison data not available.

This fund has over 80% in equity β€” it's an aggressive allocation. Expect significant volatility but potentially higher long-term returns.

Sector Allocation

SOV
100.0%

⚠️ High concentration β€” the top 3 sectors account for 100.0% of this fund. If these sectors face headwinds simultaneously, the fund will feel it. This is common in thematic or sectoral funds but unusual for diversified funds.

Holdings-Based Style Box

Value
Blend
Growth
Large
Mid
Small

This fund sits in the Large-Value quadrant based on its holdings characteristics.

The fund primarily holds large-cap stocks (top 100 companies by market cap) β€” typically the most stable equity holdings. The β€˜Value’ tilt means holdings trade at lower valuations (P/E, P/B) relative to earnings β€” the fund manager is looking for underpriced stocks.

πŸ“– What do Large/Mid/Small Cap mean? β†’

Key Metrics

Data not available
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Fund DNA

Fund DNA analysis is not available yet β€” data enrichment pending.

Portfolio Holdings1 positions

πŸ’‘Reading the Holdings Table

The Weight column shows how much of the fund's money is in each stock. The 3M Change reveals the fund manager's recent moves β€” increasing weight (↑ green) means they're buying more, decreasing (↓ red) means they're trimming. Click any stock name to see its detailed financials on Equiscale.

πŸ“– Learn: Diversification & Asset Allocation β†’
#CompanySectorAllocationWeight (%)3M ChangeView
1STRIPSSOV
100.0%β€”

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Returns

Returns data is not yet available for this fund. Check back soon.

Performance

Historical NAV data not available for this fund.

This chart shows the fund's NAV growth over time.

Investment Calculator

Estimate future value based on Kotak Fmp Series 310's historical returns

1102030
Invested
β‚Ή6.00 L
Est. Value
β‚Ή8.25 L
Wealth
β‚Ή2.25 L
1.4Γ— in 5yr
Growth ProjectionKotak Fmp Series 310 vs NIFTY 50

⚠️ Important Disclaimer

This projection uses past returns (12% CAGR) which do NOT guarantee future performance. Actual returns may vary significantly.

πŸ’‘ Why SIP works: Investing β‚Ή10,000/month uses rupee cost averaging β€” buying more units when markets dip. Over 5 years, this smooths out volatility.

πŸ‘€Fund Manager

Fund manager information is not available for this fund.

All mutual fund data is for educational purposes only. Past performance does not guarantee future returns. Mutual fund investments are subject to market risks. Read all scheme-related documents carefully before investing. Equiscale does not provide investment advice.