AAA
80.50% फंड
एनएवी
10-जून-2026 तक
|
इयर-टू-डेट
|
1D
|
1W
|
1M
|
3M
|
6M
|
1Y
|
3Y
|
5Y
|
7Y
|
10Y
|
|
|---|---|---|---|---|---|---|---|---|---|---|---|
|
1.82
|
--
|
1.05
|
1.05
|
1.30
|
2.01
|
4.83
|
7.42
|
6.27
|
7.37
|
7.76
|
|
|
SIP रिटर्न%*
|
--
|
--
|
--
|
--
|
13.95
|
6.77
|
5.28
|
7.10
|
7.03
|
6.88
|
7.22
|
|
SIP रिटर्न वैल्यू (₹10k/mth)*
|
--
|
--
|
--
|
--
|
3,043
|
6,092
|
12,302
|
39,923
|
71,369
|
1,06,872
|
1,73,351
|
10-जून-2026 तक
* 01-जून-2026 तक
|
इंस्ट्रमेंट
|
क्रेडिट रेटिंग
|
% एसेट
|
|
|---|---|---|---|
|
7.20% Larsen & Toubro 2035
|
Debenture
|
AAA
|
4.46
|
|
7.40% National Bank Agr. Rur. Devp 25-D 29/04/2030
|
Bonds
|
AAA
|
4.10
|
|
National Bank For Financing Infrastructure And Development 2044
|
Bonds
|
AAA
|
3.96
|
|
7.79% Reliance Industries 2033
|
Bonds
|
AAA
|
3.41
|
|
7.45% ICICI Securities 2028
|
Debenture
|
AAA
|
3.02
|
|
8.06% India Infradebt 2029
|
Bonds
|
AAA
|
2.63
|
|
8.03% ICICI Prudential 2034
|
Debenture
|
AAA
|
2.45
|
|
9.09% Muthoot Finance 2029
|
Debenture
|
AA+
|
2.34
|
|
7.97% Mankind Pharma 2027
|
Bonds/Debentures
|
AA+
|
2.31
|
|
6.94% Power Grid Corporation Of India 2035
|
Bonds
|
AAA
|
2.21
|
|
7.36% State Bank of India 2039
|
Non Convertible Debenture
|
AAA
|
1.81
|
|
8.90% Bharti Telecom 2034
|
Debenture
|
AAA
|
1.61
|
|
7.81% State Bank of India 2038
|
Debenture
|
AAA
|
1.58
|
|
8.85% Muthoot Finance 2028
|
Bonds
|
AA+
|
1.55
|
|
Mahindra & Mahindra Financial Services 2029
|
Debenture
|
AAA
|
1.54
|
|
7.74% Indian Railway Finance Corporation 2038
|
Debenture
|
AAA
|
1.54
|
|
7.98% NIIF Infrastructure Finance 2028
|
Bonds
|
AAA
|
1.54
|
|
8.05% HDFC Life Insurance 2034
|
Bonds
|
AAA
|
1.53
|
|
7.75% HDFC Bank 2033
|
Debenture
|
AAA
|
1.53
|
|
7.38% NHPC 2029
|
Non Convertible Debenture
|
AAA
|
1.53
|
|
7.65% Poonawalla Fincorp 2028
|
Bonds
|
AAA
|
1.52
|
|
7.69% LIC Housing Fin. 2034
|
Debenture
|
AAA
|
1.52
|
|
8.30% Adani Power 2030
|
Bonds
|
AA
|
1.52
|
|
7.39% Small Industries 2030
|
Bonds
|
AAA
|
1.52
|
|
7.65% National Bank For Financing Infrastructure And Development 2038
|
Bonds
|
AAA
|
1.52
|
30-अप्रैल-2026 तक
*31-मार्च-2026 तक
|
रेटिंग
|
फंड (%)
|
|---|---|
|
AAA
|
80.50
|
|
AA
|
11.85
|
|
Cash Equivalent
|
7.48
|
|
SOV
|
0.16
|
|
A and Below
|
0.01
|
80.50% फंड
|
SIP रिटर्न%
|
नेट एसेट (₹ Cr)
|
|
|
|---|---|---|---|
|
Kotak Pension Fund - Scheme C - TIER II
|
|
65
|
लोडिंग... |
|
|
649
|
लोडिंग... |
|
|
|
286
|
लोडिंग... |
|
|
|
104
|
लोडिंग... |
|
|
|
50
|
लोडिंग... |