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Kotak Nifty AAA Bond Financial Services Mar 2028 Index Fund Direct - Growth Portfolio Analysis

Portfolio Asset Allocation

as on Dec 31, 2025
AAA 93.92 %
Cash & Call Money 6.08 %

Portfolio Overview

as on Dec 31, 2025
Debenture 49.17 %
Non Convertible Debenture 29.840000000000003 %
Floating Rate Bond 13.42 %
Net Current Assets 4.14 %

Historical Trend in Instrument Sector Allocation

as on Dec 31, 2025
  • %
  • #
Sector Dec 25 Oct 25 Sep 25 Aug 25
Financial 93.92 % 319.03 Cr 92.11000000000001 % 330.22 Cr 94.49 % 340.07 Cr 93.41000000000001 % 380.63 Cr 36.48

Sector Allocation Vs Category

as on Dec 31, 2025

Complete Current Instrument Holdings

as on Dec 31, 2025
InstrumentSector% of holdingValue
LIC Housing Finance Ltd.Financial 13.42 % 45.58 Cr
Aditya Birla Housing Finance Ltd.Financial 13.42 % 45.59 Cr
Mahindra & Mahindra Financial Services Ltd.Financial 11.94 % 40.55 Cr
HDB Financial Services Ltd.Financial 11.92 % 40.49 Cr
Bajaj Housing Finance Ltd.Financial 11.91 % 40.45 Cr
Tata Capital Financial Services Ltd.Financial 7.45 % 25.3 Cr
Bajaj Finance Ltd.Financial 7.44 % 25.27 Cr
Tata Capital Housing Finance Ltd.Financial 7.44 % 25.26 Cr
REC Ltd.Financial 4.5 % 15.29 Cr
Power Finance Corporation Ltd.Financial 2.99 % 10.14 Cr
National Bank For Agriculture & Rural DevelopmentFinancial 1.49 % 5.06 Cr