Kotak Balanced Advantage Fund - Direct Plan -Growth Option
Kotak
Dynamic Asset Allocation or Balanced Advantage
Current NAV
22.27
Rating Analysis
This fund is significantly outperforming its category average, generating strong alpha.
1Y Alpha
+0.2%
vs cat avg -0.2%
3Y Alpha
-0.2%
vs cat avg 10.6%
5Y Alpha
+0.1%
vs cat avg 9.6%
Returns
1Y Return
+0.0%
Category -0.2%
3Y Return
+10.4%
Category 10.6%
5Y Return
+9.7%
Category 9.6%