Kotak Emerging Equity Scheme - Growth

Category: Equity: Mid Cap
Launch Date: 30-03-2007
Asset Class: Equity
Benchmark: NIFTY Midcap 150 TRI
Expense Ratio: 1.43% As on (31-10-2024)
Status: Open Ended Schemes
Minimum Investment: 100.0
Minimum Topup: 100.0
Total Assets: 50,627.29 Cr As on (31-10-2024)
Turn over: 25.67%
NAV as on 22-11-2024

130.02

1.61 (1.2421%)

CAGR Since Inception

15.63%

NIFTY Midcap 150 TRI 17.92%

PERFORMANCE of Kotak Emerging Equity Scheme - Growth

Scheme Performance (%)

Data as on - 22-11-2024

Yearly Performance (%)

Fund Managers

Atul Bhole, Arjun Khanna

Investment Objective

The scheme aims to generate long-term capital appreciation from a portfolio of equity and equity related securities, by investing predominantly in mid and small cap companies.

NAV & Lumpsum details( Invested amount 1,00,000)

Show All Monthly Lumpsum Returns
NAV Date NAV Units Market
Value
Returns
(%)
30-03-2007 10.0 10000.0 100000 0.0 %
30-04-2007 10.16 - 101600 1.6 %
30-05-2007 10.73 - 107300 7.3 %
02-07-2007 11.805 - 118050 18.05 %
30-07-2007 11.582 - 115820 15.82 %
30-08-2007 11.228 - 112280 12.28 %
01-10-2007 12.755 - 127550 27.55 %
30-10-2007 14.089 - 140890 40.89 %
30-11-2007 15.069 - 150690 50.69 %
31-12-2007 17.023 - 170230 70.23 %
30-01-2008 13.817 - 138170 38.17 %
29-02-2008 12.858 - 128580 28.58 %
31-03-2008 10.829 - 108290 8.29 %
29-04-2008 11.711 - 117110 17.11 %
29-05-2008 10.879 - 108790 8.79 %
30-06-2008 8.609 - 86090 -13.91 %
29-07-2008 8.747 - 87470 -12.53 %
29-08-2008 9.119 - 91190 -8.81 %
29-09-2008 7.638 - 76380 -23.62 %
29-10-2008 5.49 - 54900 -45.1 %
01-12-2008 5.388 - 53880 -46.12 %
29-12-2008 5.807 - 58070 -41.93 %
29-01-2009 5.348 - 53480 -46.52 %
02-03-2009 5.107 - 51070 -48.93 %
30-03-2009 5.407 - 54070 -45.93 %
28-04-2009 5.957 - 59570 -40.43 %
28-05-2009 7.477 - 74770 -25.23 %
29-06-2009 7.847 - 78470 -21.53 %
28-07-2009 8.394 - 83940 -16.06 %
28-08-2009 8.955 - 89550 -10.45 %
29-09-2009 9.48 - 94800 -5.2 %
28-10-2009 9.532 - 95320 -4.68 %
30-11-2009 10.203 - 102030 2.03 %
29-12-2009 10.511 - 105110 5.11 %
28-01-2010 10.277 - 102770 2.77 %
02-03-2010 10.389 - 103890 3.89 %
29-03-2010 10.964 - 109640 9.64 %
28-04-2010 11.255 - 112550 12.55 %
28-05-2010 10.874 - 108740 8.74 %
28-06-2010 11.606 - 116060 16.06 %
28-07-2010 12.184 - 121840 21.84 %
30-08-2010 12.67 - 126700 26.7 %
28-09-2010 13.406 - 134060 34.06 %
28-10-2010 13.472 - 134720 34.72 %
29-11-2010 12.714 - 127140 27.14 %
28-12-2010 12.452 - 124520 24.52 %
28-01-2011 11.166 - 111660 11.66 %
28-02-2011 10.221 - 102210 2.21 %
28-03-2011 10.821 - 108210 8.21 %
28-04-2011 11.439 - 114390 14.39 %
30-05-2011 11.038 - 110380 10.38 %
28-06-2011 10.988 - 109880 9.88 %
28-07-2011 11.388 - 113880 13.88 %
29-08-2011 10.382 - 103820 3.82 %
28-09-2011 10.39 - 103900 3.9 %
28-10-2011 10.72 - 107200 7.2 %
28-11-2011 10.091 - 100910 0.91 %
28-12-2011 9.344 - 93440 -6.56 %
30-01-2012 10.136 - 101360 1.36 %
28-02-2012 11.058 - 110580 10.58 %
28-03-2012 11.088 - 110880 10.88 %
30-04-2012 11.428 - 114280 14.28 %
28-05-2012 10.921 - 109210 9.21 %
28-06-2012 10.921 - 109210 9.21 %
30-07-2012 11.06 - 110600 10.6 %
28-08-2012 11.386 - 113860 13.86 %
28-09-2012 12.399 - 123990 23.99 %
29-10-2012 12.592 - 125920 25.92 %
29-11-2012 13.157 - 131570 31.57 %
28-12-2012 13.732 - 137320 37.32 %
28-01-2013 13.626 - 136260 36.26 %
28-02-2013 12.448 - 124480 24.48 %
28-03-2013 11.996 - 119960 19.96 %
29-04-2013 12.157 - 121570 21.57 %
28-05-2013 12.495 - 124950 24.95 %
28-06-2013 11.596 - 115960 15.96 %
29-07-2013 11.052 - 110520 10.52 %
28-08-2013 9.783 - 97830 -2.17 %
30-09-2013 10.677 - 106770 6.77 %
28-10-2013 11.403 - 114030 14.03 %
28-11-2013 12.229 - 122290 22.29 %
30-12-2013 13.089 - 130890 30.89 %
28-01-2014 12.481 - 124810 24.81 %
28-02-2014 12.936 - 129360 29.36 %
28-03-2014 13.957 - 139570 39.57 %
28-04-2014 14.667 - 146670 46.67 %
28-05-2014 16.558 - 165580 65.58 %
30-06-2014 18.426 - 184260 84.26 %
28-07-2014 18.766 - 187660 87.66 %
28-08-2014 20.16 - 201600 101.6 %
29-09-2014 21.194 - 211940 111.94 %
28-10-2014 21.501 - 215010 115.01 %
28-11-2014 23.566 - 235660 135.66 %
29-12-2014 24.192 - 241920 141.92 %
28-01-2015 26.013 - 260130 160.13 %
02-03-2015 26.18 - 261800 161.8 %
30-03-2015 25.583 - 255830 155.83 %
28-04-2015 25.03 - 250300 150.3 %
28-05-2015 25.689 - 256890 156.89 %
29-06-2015 25.517 - 255170 155.17 %
28-07-2015 26.59 - 265900 165.9 %
28-08-2015 26.037 - 260370 160.37 %
28-09-2015 25.81 - 258100 158.1 %
28-10-2015 26.33 - 263300 163.3 %
30-11-2015 26.381 - 263810 163.81 %
28-12-2015 26.564 - 265640 165.64 %
28-01-2016 24.379 - 243790 143.79 %
29-02-2016 22.64 - 226400 126.4 %
28-03-2016 24.534 - 245340 145.34 %
28-04-2016 26.422 - 264220 164.22 %
30-05-2016 27.48 - 274800 174.8 %
28-06-2016 28.22 - 282200 182.2 %
28-07-2016 30.268 - 302680 202.68 %
29-08-2016 30.914 - 309140 209.14 %
28-09-2016 31.806 - 318060 218.06 %
28-10-2016 32.553 - 325530 225.53 %
28-11-2016 29.878 - 298780 198.78 %
28-12-2016 29.008 - 290080 190.08 %
30-01-2017 31.731 - 317310 217.31 %
28-02-2017 33.193 - 331930 231.93 %
28-03-2017 34.473 - 344730 244.73 %
28-04-2017 36.376 - 363760 263.76 %
29-05-2017 35.484 - 354840 254.84 %
28-06-2017 35.806 - 358060 258.06 %
28-07-2017 37.131 - 371310 271.31 %
28-08-2017 36.574 - 365740 265.74 %
28-09-2017 36.704 - 367040 267.04 %
30-10-2017 39.291 - 392910 292.91 %
28-11-2017 40.455 - 404550 304.55 %
28-12-2017 41.769 - 417690 317.69 %
29-01-2018 41.398 - 413980 313.98 %
28-02-2018 39.962 - 399620 299.62 %
28-03-2018 38.992 - 389920 289.92 %
30-04-2018 41.519 - 415190 315.19 %
28-05-2018 39.873 - 398730 298.73 %
28-06-2018 37.288 - 372880 272.88 %
30-07-2018 39.036 - 390360 290.36 %
28-08-2018 40.099 - 400990 300.99 %
28-09-2018 35.589 - 355890 255.89 %
29-10-2018 34.237 - 342370 242.37 %
28-11-2018 35.828 - 358280 258.28 %
28-12-2018 36.888 - 368880 268.88 %
28-01-2019 35.38 - 353800 253.8 %
28-02-2019 35.965 - 359650 259.65 %
28-03-2019 38.502 - 385020 285.02 %
30-04-2019 38.119 - 381190 281.19 %
28-05-2019 39.027 - 390270 290.27 %
28-06-2019 39.053 - 390530 290.53 %
29-07-2019 36.336 - 363360 263.36 %
28-08-2019 35.789 - 357890 257.89 %
30-09-2019 38.092 - 380920 280.92 %
29-10-2019 38.726 - 387260 287.26 %
28-11-2019 40.118 - 401180 301.18 %
30-12-2019 40.343 - 403430 303.43 %
28-01-2020 43.578 - 435780 335.78 %
28-02-2020 41.15 - 411500 311.5 %
30-03-2020 28.889 - 288890 188.89 %
28-04-2020 32.532 - 325320 225.32 %
28-05-2020 32.276 - 322760 222.76 %
29-06-2020 35.416 - 354160 254.16 %
28-07-2020 37.298 - 372980 272.98 %
28-08-2020 41.492 - 414920 314.92 %
28-09-2020 40.912 - 409120 309.12 %
28-10-2020 41.542 - 415420 315.42 %
01-12-2020 47.71 - 477100 377.1 %
28-12-2020 48.972 - 489720 389.72 %
28-01-2021 50.277 - 502770 402.77 %
01-03-2021 56.947 - 569470 469.47 %
30-03-2021 57.217 - 572170 472.17 %
28-04-2021 58.511 - 585110 485.11 %
28-05-2021 61.189 - 611890 511.89 %
28-06-2021 64.815 - 648150 548.15 %
28-07-2021 66.62 - 666200 566.2 %
30-08-2021 68.306 - 683060 583.06 %
28-09-2021 69.887 - 698870 598.87 %
28-10-2021 70.947 - 709470 609.47 %
29-11-2021 69.962 - 699620 599.62 %
28-12-2021 71.533 - 715330 615.33 %
28-01-2022 71.092 - 710920 610.92 %
28-02-2022 68.759 - 687590 587.59 %
28-03-2022 69.94 - 699400 599.4 %
28-04-2022 72.755 - 727550 627.55 %
30-05-2022 68.616 - 686160 586.16 %
28-06-2022 65.761 - 657610 557.61 %
28-07-2022 72.033 - 720330 620.33 %
29-08-2022 75.47 - 754700 654.7 %
28-09-2022 74.247 - 742470 642.47 %
28-10-2022 75.227 - 752270 652.27 %
28-11-2022 77.137 - 771370 671.37 %
28-12-2022 76.173 - 761730 661.73 %
30-01-2023 73.734 - 737340 637.34 %
28-02-2023 75.267 - 752670 652.67 %
28-03-2023 72.827 - 728270 628.27 %
28-04-2023 76.636 - 766360 666.36 %
29-05-2023 79.638 - 796380 696.38 %
28-06-2023 83.515 - 835150 735.15 %
28-07-2023 86.283 - 862830 762.83 %
28-08-2023 89.654 - 896540 796.54 %
29-09-2023 91.541 - 915410 815.41 %
30-10-2023 89.745 - 897450 797.45 %
28-11-2023 94.478 - 944780 844.78 %
28-12-2023 100.02 - 1000200 900.2 %
29-01-2024 100.279 - 1002790 902.79 %
28-02-2024 101.884 - 1018840 918.84 %
28-03-2024 102.495 - 1024950 924.95 %
29-04-2024 109.219 - 1092190 992.19 %
28-05-2024 117.984 - 1179840 1079.84 %
28-06-2024 126.752 - 1267520 1167.52 %
29-07-2024 132.269 - 1322690 1222.69 %
28-08-2024 132.976 - 1329760 1229.76 %
30-09-2024 136.602 - 1366020 1266.02 %
28-10-2024 129.907 - 1299070 1199.07 %
22-11-2024 130.02 - 1300200 1200.2 %

RETURNS CALCULATOR for Kotak Emerging Equity Scheme - Growth

Growth of 10000 In SIP (Fund vs Benchmark)

Amount :
Period :
Start :
End :

Growth of 10000 In LUMPSUM (Fund vs Benchmark)

Amount :
Start :

Rolling Returns

Rolling returns are the annualized returns of the scheme taken for a specified period (rolling returns period) on every day/week/month and taken till the last day of the duration. In this chart we are showing the annualized returns over the rolling returns period on every day from the start date and comparing it with the benchmark. Rolling returns is the best measure of a fund's performance. Trailing returns have a recency bias and point to point returns are specific to the period in consideration. Rolling returns, on the other hand, measures the fund's absolute and relative performance across all timescales, without bias.

Riskometer

riskometer

Key Performance and Risk Statistics of Kotak Emerging Equity Scheme - Growth

Key Statistics Volatility Sharpe Ratio Alpha Beta Yield to Maturity Average Maturity
Kotak Emerging Equity Scheme - Growth 12.22 1.12 2.38 0.8 - -
Equity: Mid Cap - - - - - -

PEER COMPARISION of Kotak Emerging Equity Scheme - Growth

Amount :
Start :
End :
Period
Data as on - 22-11-2024
Scheme Name Launch
Date
1-Year
Ret (%)
2-Yrs
Ret (%)
3-Yrs
Ret (%)
5-Yrs
Ret (%)
10-Yrs
Ret (%)
Kotak Emerging Equity Scheme - Growth 30-03-2007 38.09 30.85 21.95 27.03 18.71
Motilal Oswal Midcap Fund-Regular Plan-Growth Option 02-02-2014 57.88 43.94 33.55 32.03 20.3
Invesco India Midcap Fund - Growth Option 19-04-2007 45.26 35.17 23.18 27.28 17.7
Edelweiss Mid Cap Fund - Regular Plan - Growth Option 26-12-2007 44.79 35.61 24.51 29.55 18.84
HSBC Midcap Fund - Regular Growth 09-08-2004 41.6 35.7 22.82 24.01 17.04
ITI Mid Cap Fund - Regular Plan - Growth Option 05-03-2021 40.74 33.59 20.89 0.0 0.0
Franklin India Prima Fund-Growth 01-12-1993 38.36 32.42 20.42 22.86 16.05
ICICI Prudential MidCap Fund - Growth 10-10-2004 38.36 29.18 19.95 24.34 15.3
Sundaram Mid Cap Fund Regular Plan - Growth 01-07-2002 38.28 33.94 23.25 24.34 15.97
JM Midcap Fund (Regular) - Growth 21-11-2022 38.22 0.0 0.0 0.0 0.0

PORTFOLIO ANALYSIS of Kotak Emerging Equity Scheme - Growth

Asset Allocation (%)

Allocation Percentage (%)

Market Cap Distribution

Small Cap

14.15%

Others

3.71%

Large Cap

10.8%

Mid Cap

71.14%

Total

100%