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Kotak Liquid Regular Plan (D)

PLAN: Regular OPTIONS: Dividend
1,002.940 0.17 (0.02%)

NAV as on 21 Oct, 2016

CRISIL MF RANK

Not Ranked

Riskometer

LOW

LOW

  • Principal at low risk.
FUND FAMILY : Kotak Mahindra Mutual Fund FUND CLASS : Liquid
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Are your mutual funds giving you good returns? The Returns Calculator gives you an answer by calculating fund returns for the period chosen. It also displays returns and performance rank of the fund within its peer group for different time frames.

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Absolute Returns: 0.1%*

* Returns have been calculated after adjusting the NAVs for dividends, & bonus, if any.

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Kotak Liquid Regular Plan (D) - Performance Snapshot as on Oct 21, 2016

Period Absolute Returns (%) Annualised
Returns (%)
Performance Rank #
(within fund classes)
1 week
0.1 ** 14
1 month
0.6 ** 9
3 months
1.7 ** 12
6 months
3.5 ** 16
1 year
7.2 7.2 12
2 years
15.3 7.4 28
3 years
24.9 7.7 60
5 years 46.7 8.0 61
** Annualised returns displayed only for 1 year and above
# Total No. of Liquid : 175
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