Kotak Flexicap Fund - Growth - Direct

As on 27 Mar 2025

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Kotak Flexicap Fund - Growth - Direct

Equity

NAV

87.03

CAGR (3 Years)

15.71%

AUM (Cr)

45,433.37

Risk

Very High Risk

About Kotak Flexicap Fund - Growth - Direct

To generate long-term capital appreciation from a portfolio of equity and equity related securities, generally focused on a few selected sectors.

Breakdown of this Fund

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Aerospace & Defence
17.14%
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Agro Chemicals
0.44%
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Air Transport Service
4.94%
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Alcoholic Beverages
1.80%
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Automobile
7.45%
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Banks
44.75%
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Capital Goods-Non Electrical Equipment
3.38%
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Castings, Forgings & Fastners
4.66%
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Cement
12.52%
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Chemicals
8.82%
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Debt Others
4.33%
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E-Commerce/App based Aggregator
5.45%
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Fertilizers
1.10%
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Finance
3.23%
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Financial Services
1.68%
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FMCG
3.68%
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Gas Distribution
5.89%
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Infrastructure Developers & Operators
9.82%
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IT - Software
19.49%
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Logistics
1.83%
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Mutual Fund Units
0.27%
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Non Ferrous Metals
1.57%
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Pharmaceuticals
6.99%
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Power Generation & Distribution
2.97%
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Refineries
8.75%
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Steel
6.64%
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Telecomm-Service
5.81%
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Tyres
4.60%

Market Capitalization

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