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Kotak Multi Asset Allocation Fund Regular-growth

Hybrid
Large Cap
Very High Risk

Latest AUM

₹ 14,308.5 Cr.

NAV as on 31 jul, 2026

₹ 15.81

+20.58% 3 years annulised
This Fund

Fund Details

Fund Names Kotak Multi Asset Allocation Fund Regular-growth
Inception Date 22 Sep 2023
Lock In No Lock-in
SIP Minimum Investment amount ₹21
SWP Minimum Investment amount ₹1000
STP Minimum Investment amount ₹500
Risk Principal at very high risk
Category Average Annual Returns 6.17

Portfolio Composition Analysis

Equity 70.03%
Debt 11.11%
Commodity 11.85%
Cash 6.97%
Portfolio Updated on: 10 Jul, 2026

Sector Allocations

Equity Debt
Financial
218.17%
Technology
156.08%
Consumer Discretionary
115.06%
Energy & Utilities
111.51%
Consumer Staples
105.57%
Materials
15.39%
Healthcare
10.83%
Entities
57.65%
Financial
28.35%
Diversified
1.60%

Portfolio Updated on: 31 jul, 2026

Top 10 Holdings

Name Sector Instruments Assets
ITC Ltd Consumer Staples Equity 5.62%
ITC Ltd Consumer Staples Equity 5.62%
State Bank of India Financial Equity 4.03%
ITC Ltd Consumer Staples Equity 4.74%
ITC Ltd Consumer Staples Equity 5.16%
ITC Ltd Consumer Staples Equity 5.16%
State Bank of India Financial Equity 3.73%
State Bank of India Financial Equity 3.37%
State Bank of India Financial Equity 3.37%
ITC Ltd Consumer Staples Equity 3.93%

Debt & Credit Risk Analysis

Returns vs. Category (1 year)
Returns vs. Category (RSI)
Beta1.09%

Returns Analysis

Tenure Absolute Annualised Category Average
3 Months 0.30% NA 2.57%
6 Months -1.86% NA 9.31%
9 Months 9.13% NA 6.98%
1 Year 20.12% 20.12% 6.17%
2 Years 22.50% 10.68% 16.48%

Kotak Multi Asset Allocation Fund Regular-growth is one Hybrid mutual fund offered by Kotak Mahindra Mutual Fund. Launched on 22 Sep 2023, the fund aims Long term capital growth Equity & Equity related Securities, Debt & Money Market Instruments, Commodity ETFs and Exchange Traded Commodity Derivatives. It manages assets worth ₹14,308.5 crore as on Tue Jun 30, 2026. The expense ratio stands at 1.7407%.

Abhishek Bisen has experience Prior to joining Kotak AMC, he was working with Securities Trading Corporation Of India Ltd where he was looking at Sales & Trading of Fixed Income Products apart from doing Portfolio Advisory. His earlier assignments also include 2 years of merchant banking experience with a leading merchant banking firm.

Devender Singhal has experience Prior to joining Kotak Mahindra AMC , he has worked with Kotak Securities Ltd.(July 2007 -- January 2009) ,Religare (February 2006 -- June 2007), Karvy (July 2004 -- January 2006), P N Vijay Financial Services Pvt Ltd(2001 -- 2004) and Dundee Mutual Fund( Summer Trainee ) (May 2000 -- June 2000 ).

Hiten Shah has experience Prior to joining Kotak Mahindra Mutual fund, he was associated with Edelweiss Asset Management for more than 8 years as a CoFund manager and Chief dealer in equities segment. He was also associated with Edelweiss securities Ltd. as low risk arbitrage trader for more than 3 years.

Jeetu Valechha Sonar has experience Prior to joining Kotak AMC Limited, he has worked as institutional dealer with Kotak Securities Ltd. and is part of Kotak Group since 2014.

Top Performing Mutual Funds

Fund name
Quant Multi Asset Allocation Fund Direct-growth5,980.4-0.67%+4.79%+3.76%+21.72%+23.11%+19.54%
Quant Multi Asset Allocation Fund Direct-idcw5,980.4-0.67%+4.79%+3.76%+21.72%+23.11%+19.54%
Quant Multi Asset Allocation Fund Regular-growth5,980.4-0.77%+4.46%+3.14%+20.26%+21.55%+17.80%
Quant Multi Asset Allocation Fund Regular-idcw5,980.4-0.77%+4.46%+3.14%+20.26%+21.55%+17.80%
ICICI Prudential Multi Asset Fund Direct-growth84,990.6+1.85%+1.94%-0.21%+9.00%+15.55%+17.73%
ICICI Prudential Multi Asset Fund Direct-idcw84,990.6+1.85%+1.94%-0.21%+9.00%+15.55%+17.73%
ICICI Prudential Multi Asset Fund-growth84,990.6+1.80%+1.79%-0.53%+8.28%+14.71%+16.92%
ICICI Prudential Multi Asset Fund-idcw84,990.6+1.80%+1.79%-0.53%+8.28%+14.71%+16.92%
Nippon India Multi Asset Allocation Fund Direct-growth16,000.2+1.88%+2.47%+0.74%+15.88%+19.00%+16.36%
Nippon India Multi Asset Allocation Fund Direct-idcw16,000.2+1.88%+2.47%+0.74%+15.88%+19.00%+16.36%

growth is based on 1-month returns of the funds & Top fund are based on 3Y Returns

More Funds from Kotak Mahindra Mutual Fund

Fund name
Kotak Multi Asset Allocation Fund Direct-growth14,308.5+0.74%+0.61%-1.27%+21.59%
Kotak Multi Asset Allocation Fund Direct-idcw14,308.5+0.74%+0.61%-1.27%+21.59%
Kotak Multi Asset Allocation Fund Regular-idcw14,308.5+0.64%+0.30%-1.86%+20.12%
Kotak Multi Asset Omni Fof Regular-growth2,522.2+1.08%+2.05%-3.06%+9.99%+14.68%+14.87%
Kotak Multi Asset Omni Fof Direct-growth2,522.2+1.14%+2.24%-2.72%+10.76%+15.49%+15.73%
Kotak Multi Asset Omni Fof Regular-idcw2,522.2+1.08%+2.05%-3.06%+9.99%+14.68%+14.87%
Kotak Multi Asset Omni Fof Direct-idcw2,522.2+1.14%+2.24%-2.72%+10.76%+15.49%+15.73%
Kotak Multi Asset Active Fof Regular-growth76.1+0.87%+1.27%
Kotak Multi Asset Active Fof Direct-growth76.1+0.92%+1.45%

growth is based on 1-month returns of the funds

Top Mutual Funds

Fund name
ICICI Prudential Multi Asset Fund Direct-growth84,990.6+1.85%+1.94%-0.21%+9.00%+15.55%+17.73%
ICICI Prudential Multi Asset Fund-growth84,990.6+1.80%+1.79%-0.53%+8.28%+14.71%+16.92%
ICICI Prudential Multi Asset Fund-idcw84,990.6+1.80%+1.79%-0.53%+8.28%+14.71%+16.92%
ICICI Prudential Multi Asset Fund Direct-idcw84,990.6+1.85%+1.94%-0.21%+9.00%+15.55%+17.73%
SBI Multi Asset Allocation Fund Direct-growth19,354.2+0.56%+1.24%+0.05%+13.25%+16.06%+14.10%
SBI Multi Asset Allocation Fund-growth19,354.2+0.50%+1.05%-0.32%+12.37%+15.07%+13.11%
SBI Multi Asset Allocation Fund-idcw Monthly19,354.2+0.50%+1.05%-0.32%+12.37%+15.07%+13.11%
SBI Multi Asset Allocation Fund Direct-idcw Monthly19,354.2+0.56%+1.24%+0.05%+13.25%+16.06%+14.10%
SBI Multi Asset Allocation Fund-idcw Quarterly19,354.2+0.50%+1.05%-0.32%+12.37%+15.07%+13.11%
SBI Multi Asset Allocation Fund Direct-idcw Quarterly19,354.2+0.56%+1.24%+0.05%+13.25%+16.06%+14.10%

Top funds are based on Fund AUM

Top Hybrid Funds

Fund name
Quant Multi Asset Allocation Fund Direct-growth₹183.76+23.11%+19.54%
Quant Multi Asset Allocation Fund Direct-idcw₹169.35+23.11%+19.54%
Quant Multi Asset Allocation Fund Regular-growth₹169.13+21.55%+17.80%
Quant Multi Asset Allocation Fund Regular-idcw₹155.04+21.55%+17.80%
Icici Prudential Multi Asset Fund Direct-growth₹902.37+15.55%+17.73%
Icici Prudential Multi Asset Fund Direct-idcw₹59.85+15.55%+17.73%
Icici Prudential Multi Asset Fund-growth₹814.44+14.71%+16.92%
Icici Prudential Multi Asset Fund-idcw₹34.82+14.71%+16.92%
Nippon India Multi Asset Allocation Fund Direct-growth₹26.86+19.00%+16.36%
Nippon India Multi Asset Allocation Fund Direct-idcw₹25.78+19.00%+16.36%

growth is based on 5Y returns of the funds

Historical NAV

Date NAV
31 Jul 2026 ₹15.81
30 Jul 2026 ₹15.76
29 Jul 2026 ₹15.74
28 Jul 2026 ₹15.64
27 Jul 2026 ₹15.72
24 Jul 2026 ₹15.56
23 Jul 2026 ₹15.61
22 Jul 2026 ₹15.69
21 Jul 2026 ₹15.81
20 Jul 2026 ₹15.82
17 Jul 2026 ₹15.77
16 Jul 2026 ₹15.77
15 Jul 2026 ₹15.80
14 Jul 2026 ₹15.72
13 Jul 2026 ₹15.83
10 Jul 2026 ₹15.83
09 Jul 2026 ₹15.72
08 Jul 2026 ₹15.59
07 Jul 2026 ₹15.84
06 Jul 2026 ₹15.90
03 Jul 2026 ₹15.89
02 Jul 2026 ₹15.87
01 Jul 2026 ₹15.77
30 Jun 2026 ₹15.71
29 Jun 2026 ₹15.68
25 Jun 2026 ₹15.68
24 Jun 2026 ₹15.74
23 Jun 2026 ₹15.72
22 Jun 2026 ₹15.90
19 Jun 2026 ₹15.82

Portfolio Updated on: 01 Aug, 2026

Fund Growth & Size Analysis

+₹14,308.5 Cr Since Launch
This Fund
Category Average

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Kotak Multi Asset Allocation Fund Regular-growth Returns Comparison

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Kotak Multi Asset Allocation Fund Regular-growth FAQ'S

  • Beta: 1.09%

As of Tue Jun 30, 2026, the total assets managed under Kotak Multi Asset Allocation Fund Regular-growth stand at approximately ₹ 14,308.5 crore.

The Kotak Multi Asset Allocation Fund Regular-growth has delivered the following short-term performance:

  • 3 Months Return: 0.30%

The historical growth of the Kotak Multi Asset Allocation Fund Regular-growth is reflected through its CAGR returns:

  • Return Since Launch: 17.38%

The portfolio of Kotak Multi Asset Allocation Fund Regular-growth is distributed across different asset classes as follows:

  • Equity: 70.03%
  • Debt Instruments: 11.11%
  • Commodities: 11.85%
  • Other Assets: 6.97%

The Kotak Multi Asset Allocation Fund Regular-growth is managed by Jeetu Valechha Sonar, representing Kotak Mahindra Mutual Fund.

The Kotak Multi Asset Allocation Fund Regular-growth investments are allocated across market caps in the following manner:

  • Large Cap Stocks: 59.25%
  • Mid Cap Stocks: 21.72%
  • Small Cap Stocks: 19.03%

Top stock holdings of Kotak Multi Asset Allocation Fund Regular-growth include:

  • ITC Ltd – represents 5.62% of the portfolio
  • ITC Ltd – represents 5.62% of the portfolio
  • State Bank of India – represents 4.03% of the portfolio
  • ITC Ltd – represents 4.74% of the portfolio
  • ITC Ltd – represents 5.16% of the portfolio
  • ITC Ltd – represents 5.16% of the portfolio
  • State Bank of India – represents 3.73% of the portfolio
  • State Bank of India – represents 3.37% of the portfolio
  • State Bank of India – represents 3.37% of the portfolio
  • ITC Ltd – represents 3.93% of the portfolio

Major sector exposures in Kotak Multi Asset Allocation Fund Regular-growth are:

  • Financial – accounts for 246.52% of the portfolio
  • Technology – accounts for 156.08% of the portfolio
  • Consumer Discretionary – accounts for 115.06% of the portfolio
  • Energy & Utilities – accounts for 111.51% of the portfolio
  • Consumer Staples – accounts for 105.57% of the portfolio

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