Kotak Multi Asset Allocation Fund(G)-Direct Plan
This fund ranks 11th out of 28 funds in its category.
Low expense ratio compared to its category average.
Under the debt allocation portfolio, the fund holds high-quality bonds and securities, along with a well-diversified portfolio.
The fund has low historical risk-adjusted returns.
During periods of market volatility, this fund's risk management strategy falls short of providing adequate protection to investors.
Limited ability to outperform the benchmark.
Under debt allocation, the fund has a high modified duration indicating it is more sensitive to changes in market interest rates, suggesting higher risk for the fund.
Within the debt allocation, the fund may experience the potential for lower returns due to its maintenance of a low Yield to Maturity (YTM).
Investors with a lower risk appetite who seek diversification across multiple asset classes, such as equity, debt, gold, etc, should contemplate this fund as a suitable option
Investors who prefer to focus solely on one type of asset class should avoid this fund..
This analysis is updated as on March 2025.
The Information in the scoring and ranking model is provided solely for general information and educational purposes and shall not constitute any advice or recommendation. Mutual Fund investments are subject to market risks. Please read all scheme-related documents carefully before investing. Past performance is not an indicator of future returns.
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