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Kotak India Growth Fund-A(USD) ACC

High RiskEquity
Kotak India Growth Fund-A(USD) ACC
Issued by:Kotak Mahindra Asset Management (Singapore) Pte. Ltd
Unit Price (NAV) : $
Minimum investment: $
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Kotak India Growth Fund-A(USD) ACC

Kotak India Growth Fund-A(USD) ACC

Fund Strategy

The Fund invests in INR denominated equity securities issued by companies listed on domestic Indian stock exchanges. The majority (66%+) of the investments are in growth-oriented large capitalization Indian equities. The key sectors are Financial, Information Technology, Consumer Goods and Energy. The Fund is subject to INR currency risk, sovereign risk of India, regulatory changes and various political and geopolitical risks besides equity investment risks. It is suitable for investors with a medium to long term investment horizon and a bullish view of the growth prospects of Indian economy and its largest companies. The Fund is actively managed but uses the NIFTY 50 Index as its performance benchmark. The Investment Manager Kotak Mahindra Asset Management MAS regulated. It is structured as an unregistered private sub fund of Kotak Funds, which is an open-ended investment company organised as a UCITS V Compliant SICAV in Luxemburg and regulated by Luxembourg's CSSF.

About Kotak Mahindra Asset Management (Singapore) Pte. Ltd

Kotak Mahindra Asset Management (Singapore) Pte. Ltd. holds a Capital Markets License regulated by the Monetary Authority of Singapore. It is also registered with the Securities Exchange Board of India (“SEBI”) as an FPI under FPI regulation. It is a part of the Kotak Mahindra Group which is one of India’s leading financial institutions offering a wider range of financial services including commercial banking, stock broking, asset management, life insurance and investment banking.

Fact Sheets & Reports

lockFactsheet: Jun 2021lockFactsheet: May 2021lockFactsheet: Apr 2021lockKotak India Growth Fund Key Investor Information
Kotak India Growth Fund-A(USD) ACC