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Kotak Contra (G)

21.04 0.05 (0.23%)
NAV as on Feb-17-2012
Fund Family Kotak Mahindra Mutual Fund
Fund Class Diversified Equity
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Top Holdings (Jan 31, 12)
EquitySectorValue
(Rs cr)
Asset
%
ICICI BankBanking/Finance4.337.39
InfosysTechnology3.576.09
Hind ZincMetals & Mining2.714.62
Cairn IndiaOil & Gas2.484.22
RelianceOil & Gas1.803.07
StanChart IDRBanking/Finance1.773.02
LupinPharmaceuticals1.662.84
Jindal SteelMetals & Mining1.652.82
Madras CementsCement1.642.79
ITCTobacco1.482.52
Full Portfolio
Sector Allocation (Jan 31, 12)
Sector%-- 1-Year --
HighLow
Banking/Finance28.4528.4513.87
Metals & Mining16.2016.204.20
Technology10.1520.437.64
Oil & Gas9.3511.517.56
Cement5.777.844.22
Pharmaceuticals5.7010.485.70
View All Sectors
Asset Allocation (%) (Jan 31, 12)
Equity 86.17
Others 0.84
Debt 3.41
Mutual Funds N.A
Money Market 0.00
Cash / Call 9.58
View All

Concentration

Holdings%
Top 525.39
Top 1039.38
Sector %
Top 3 54.80

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