Kotak Multi Asset Allocation Fund vs Tata Multi Asset Opportunities Fund compare

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tortoise-icon Kotak Multi Asset Allocation Fund - Regular (G)

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tortoise-icon Tata Multi Asset Opportunities Fund-Regular Plan-Growth

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Chart Comparison

Overview Trailing Returns SIP Returns Rolling Returns Risk Managers Market Cap Sectors

Overview

Scheme Name Kotak Multi Asset Allocation Fund - Regular (G) Tata Multi Asset Opportunities Fund-Regular Plan-Growth
Fund Kotak Multi Asset Allocation Fund - Regular (G) Tata Multi Asset Opportunities Fund-Regular Plan-Growth
Investment Plan Growth Growth
Level of Risk Very High Very High
Asset Size (Cr) ₹7485 Cr ₹3410 Cr
Min Investment ₹100 ₹5000
Min SIP Invesment ₹100 ₹100
Min Addl Investment ₹100 ₹1000
Launch Date 22 Sep 2023 04 Mar 2020
Category Multi Asset Allocation Multi Asset Allocation
Fund Type Open Ended Open Ended
Benchmark NIFTY 500 TRI(65.00), NIFTY Short Duration Index(25.00), Domestic Price of Gold(5.00), Domestic Price of Silver(5.00) CRISIL Short-Term Bond Index,BSE 200 TRI,MCX I-COMDEX Composite Index
Turn Over % 16.78%
Expense Ratio 1.73 1.88
Manager Abhishek Bisen Rahul Singh
ISIN Code INF174KA1PA0 INF277K012Z5
Exits Load Kotak Multi Asset Allocation Fund - Regular Plan - Growth charges 1.0% of sell value; if fund sold before 365 days. There are no other charges./365 Tata Multi Asset Opportunities Fund - Growth charges 1.0% of sell value; if fund sold before 365 days. There are no other charges./365

Trailing Lumpsum Returns

Scheme Name Kotak Multi Asset Allocation Fund - Regular (G) Tata Multi Asset Opportunities Fund-Regular Plan-Growth
1 Month -0.19% 0.15%
6 Month 1.67% 1.24%
1 Year 17.69% 15.68%
3 Year - 13.54%
5 Year - -

SIP Return Analysis

Scheme Name Kotak Multi Asset Allocation Fund - Regular (G) Tata Multi Asset Opportunities Fund-Regular Plan-Growth
6 Month - -
1 Year 10.27% 8.69%
3 Year - 16.03%
5 Year - -

Rolling Lumpsum Returns

Scheme Name Kotak Multi Asset Allocation Fund - Regular (G) Tata Multi Asset Opportunities Fund-Regular Plan-Growth
1 Year 29.46% 18.3%
3 Year - 15.91%
5 Year - -

Risk Management

Scheme Name Kotak Multi Asset Allocation Fund - Regular (G) Tata Multi Asset Opportunities Fund-Regular Plan-Growth
Standard Deviation - 7.24%
Sharp - 1.16%
Beta - 0.81%
Alpha - 3.85%

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Fund Managers

Scheme Name Kotak Multi Asset Allocation Fund - Regular (G) Tata Multi Asset Opportunities Fund-Regular Plan-Growth
Name Abhishek Bisen Rahul Singh
Total AUM ₹0 Cr ₹19760 Cr
Fund Manage 33 9
Kotak Multi Asset Allocation Fund - Regular (G) Tata Multi Asset Opportunities Fund-Regular Plan-Growth

Market Cap

Scheme Name

Kotak Multi Asset Allocation Fund - Regular (G)

Tata Multi Asset Opportunities Fund-Regular Plan-Growth

Others 30.96 34.12
Large Cap 37.79 49.78
Small Cap 10.71 9.33
Mid Cap 7.87 6.74

Sector Allocation

Scheme Name

Kotak Multi Asset Allocation Fund - Regular (G)

Tata Multi Asset Opportunities Fund-Regular Plan-Growth

Others 30.96 34.23
Petroleum Products 0 -
IT - Software 8.11 -
Personal Products 1.42 -
Finance 3.33 -
Banks 6.48 -
Diversified FMCG 5.54 -
Printing & Publication 0.31 -
Healthcare Services 1.27 -
Cement & Cement Products 1.21 -
Insurance 0.92 0.88
Construction 0.29 4.66
Ferrous Metals 0 -
Gas 1.59 -
Automobiles 7.07 -
Entertainment 2.12 -
Diversified Metals 0 -
Realty 0 -
Consumer Durables 0.51 -
Auto Components 2.18 -
Leisure Services 2.15 -
Retailing 2.66 -
Telecom - Services 1.52 -
Pharmaceuticals & Biotechnology 0 -
Metals & Minerals Trading 0 -
Consumable Fuels 0 -
Non - Ferrous Metals 0 -
Minerals & Mining 0 -
Power 3.53 -
Transport Services 0.68 -
Transport Infrastructure -0.02 -
Capital Markets 0.8 -
Industrial Manufacturing 1.6 -
Beverages 1.1 -
Materials - 2.55
Technology - 3.9
Financial - 18.38
Services - 2.61
Energy - 7.47
Automobile - 2.47
Consumer Discretionary - 0.71
Healthcare - 4.81
Consumer Staples - 0.91
Metals & Mining - 1.52
Sovereign - 5.06
Communication - 3.65
Capital Goods - 3.63
Chemicals - 1.23
Textiles - 0.36
Unclassified - 0.94

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