Side-by-Side Comparison

Compare up to 5 mutual funds on returns, risk, and more.

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Parameter
Kotak Multi Asset Allocation Fund - Regular Plan -…
Kotak
1Y Return 20.9% ⭐
3Y CAGR 18.9% ⭐
5Y CAGR 21.9% ⭐
10Y CAGR 44.3% ⭐
Current NAV ₹15.06
AUM (₹ Cr) 14040
Expense Ratio 2.29% ⭐
Risk Level Moderate
Sharpe Ratio 1.49
Beta 1.09
Alpha -1.51
Min SIP ₹500
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Return Comparison