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Kotak Treasury Advantage Fund - Regular Plan (WD)

PLAN: Regular OPTIONS: Weekly Dividend
10.146 0 (0.01%)

NAV as on 23 Aug, 2017

CRISIL MF RANK

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MODERATELY LOW

MODERATELY LOW

  • Principal at moderately low risk.
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ranking by CRISIL

Good performance in the category

The scheme is ranked 2 in Ultra Short Term Debt category by Crisil (for quarter ended Jun 2017) up from Rank 3 last quarter. If you are already invested in this scheme, you may continue to stay invested. But, do keep a check on its performance.

View Top ranked funds in this category

Close Kotak Floater Long Term Plan renamed as Kotak Treasury Advantage Fund w.e.f. January 30, 2015
View Historic Graph From     To     

Returns (NAV as on 23 Aug, 2017)

Period Returns (%) Rank #
1 mth 0.5 154
3 mth 1.9 136
6 mth 3.6 129
1 year 7.4 130
2 year 5.6 141
3 year 6.3 115
5 year 7.5 44

# Moneycontrol Rank within 213 Ultra Short Term Debt Schemes.

Absolute Returns (in %)

Year Qtr 1 Qtr 2 Qtr 3 Qtr 4 Annual
2017 - -0.2 - - -
2016 0.2 -0.3 - -0.1 -
2015 0.2 -0.1 0.1 -0.1 0.3
2014 0.2 - - 0.1 0.3
2013 0.1 -0.3 0.1 - -
2012 - -0.2 -0.1 0.1 -

View where it stands within its peers

* Returns over 1 year are Annualised

* Calculation Remark - Dividends are reinvested at the rate of return

Performance

Fund returns v/s Category average (Ultra Short Term Debt)

* Returns over 1 year are Annualised
  1 mth (%) 3 mth (%) 6 mth (%) 1 yr (%) 2 yr (%) 3 yr (%) 5yr (%)
Fund Returns -0.1 -- -- -- 5.6 6.3 7.5
Category avg 0.6 1.9 3.6 7.0 7.3 7.3 7.2
Difference of Fund returns and Category returns -0.7 -- -- -- -1.7 -1.0 0.3
Best of category 1.2 5.3 6.7 10.1 10.7 10.5 9.8
Worst of category 0.1 0.7 1.4 -2.9 2.6 -11.5 6.1
Kotak Treasury Advantage Fund - Regular Plan (WD) Review by Crisil - Rating: 4 (Rank 2 out of 5)

Investment Info

Investment Objective

To reduce the interest rate risk associated with investments in fixed rate instruments by investing predominantly in floating rate securities money market instruments and using appropriate derivatives.

Scheme details

Fund Type Open-Ended
Investment Plan Dividend
Launch date Aug 06, 2004
Benchmark CRISIL Liquid Fund
Asset Size (Rs cr) 2,185.48 (Jun-30-2017)
Minimum Investment Rs.10000000
Last Dividend Rs.0.01 (Aug-22-2017)
Bonus N.A.
Fund Manager Deepak Agarwal
View performance of schemes managed by the Fund Manager
Notes Kotak Floater Long Term Plan renamed as Kotak Treasury Advantage Fund w.e.f. January 30, 2015

Load Details

Entry Load N.A
Exit Load 0.00%
Load Comments N.A.

Contact Details

Regd. Office 5A, 5th Floor, Bhaktawar, 229 Nariman Point, Mumbai, 400021
Tel. No. 91 22 6638 4444
Fax No. 91 22 6638 4455
Email mutual@kotak.com
Website http://www.kotakmutual.com

Peer Comparison

Ultra Short Term Debt Crisil Rank Assets (Rs.cr)
3mth (%) 6mth (%) 1yr (%) 3yr (%) 5yr (%)
HDFC Floating Rate Inc.-STP-RP (G) Not Ranked
63.40 2.0 3.7 7.7 8.4 8.6
ICICI Pru Ultra STP-RP (G) Not Ranked
3.04 2.5 4.2 8.4 9.1 8.9
HDFC CMF-Treasury Advan. - RP (G) Rank 5
10,142.62 2.0 3.7 7.7 8.0 8.1
ICICI Pru Ultra Short Term (G) Not Ranked
2,060.01 2.5 4.2 8.4 9.1 8.9
ABSL Saving - Direct (G) Rank 4
10,996.07 2.3 4.1 8.3 9.1 --
* Returns over 1 year are Annualised More »

Portfolio

Top Holdings (Jul 31, 17)

Debt Rating Value
(Rs cr)
Asset %
Reliance Jio Infocomm Limited CRISIL AAA 543.76 6.33
National Bank for Agriculture & Rural Development CRISIL AAA 210.38 2.45
Government Stock - 2030 SOV 210.60 2.45
Sheba Properties Ltd. CARE AA+ 204.65 2.38
Sankhya Financials Serivce Ltd 204.34 2.38
Power Finance Corporation Ltd. CRISIL AAA 202.71 2.36
Indiabulls Housing Finance Limited CARE AAA 202.22 2.36
Indiabulls Housing Finance Limited ICRA AAA 200.51 2.34
AXIS Bank Bill Rediscounting- 29/09/2017 197.97 2.31
Shriram Transport Finance Co Ltd. FITCH IND AA+ 176.34 2.05

Full Portfolio

Sector Allocation (Jul 31, 17)

Sector %

1-Year

HighLow

No Sector Data Available

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Asset Allocation (%)(Jul 31, 17)

Equity 0.00
Others 0.00
Debt 65.41
Mutual Funds -2.45
Money Market 32.19
Cash / Call 4.85

View All

Concentration

Holdings (%)
Top 5 15.99
Top 10 27.41
Sector (%)
Top 3 N.A.

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