Kotak Flexicap Fund

Equity Small CapVery High RiskGrowthInception 01-Jan-2013

Overview

Current NAV
97.6650
As on 30-Dec-2025
Fund Size
56,039.86 Cr
Managed by Harsha Upadhyaya
Expense Ratio
0.6%
Latest reported
Exit Load Rules
2
Conditions apply

Scheme Snapshot

This growth scheme operates in the equity small cap category with a risk profile of Very High Risk. Inception date 01-Jan-2013. Use the navigation above to explore performance, risk, portfolio holdings, analysis & exit load structure.

Data shown is for informational purposes only and may be delayed.

Returns

Green = Positive, Red = Negative
PeriodAbsolute %CAGR %Category %Index %
1D-0.37
1W-0.83
1M-1.41
3M3.492.99
6M-0.11-0.37
1Y8.882.190.46
3Y17.1717.1715.9915.51
5Y16.8016.8015.6114.45
10Y15.3515.35

Top Holdings

Portfolio Allocation (Top 8+)

HDFC Bank Ltd.
EQ
Financial
7.00
Bharat Electronics Ltd.
EQ
Capital Goods
5.79
ICICI Bank Ltd.
EQ
Financial
5.37
State Bank of India
EQ
Financial
4.10
Larsen & Toubro Ltd.
EQ
Construction
3.79
Axis Bank Ltd.
EQ
Financial
3.60
Jindal Steel Ltd.
EQ
Metals & Mining
3.49
Eternal Ltd.
EQ
Services
3.38
SRF Ltd.
EQ
Chemicals
3.22
Infosys Ltd.
EQ
Technology
3.08
Bharti Airtel Ltd.
EQ
Communication
3.06
Ultratech Cement Ltd.
EQ
Construction
2.80

Analysis Highlights

PROS
Lower expense ratio: 0.6%
PROS
Consistently higher annualised returns than category average for the past 1Y, 3Y, 5Y and 10Y
PROS
Higher alpha: 2.18 The fund has generated returns higher than benchmark - NIFTY 500 Total Return Index - in the last 3Y

Exit Load

  • Exit load for units in excess of 10% of the investment,1% will be charged for redemption within 365 days.2020-05-13
  • Exit load of 1% if redeemed within 1 year. Same for SIP.2013-01-01
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