Welcome, Guest
Contact us  |   Careers  |  Open an Account  |  Site Map  |   Login    

Market

Mutual Fund Home
You are in Top performing Funds/Schemes
Money Advisor
Here are the details of the schemes you searched for  Kotak GOLD ETF

  Scheme Details
 
Asset Size (Cr.) Fund Mngr Launch Date Min. Inv Inc. Inv(Rs.)
244.82 Mr.Abhishek Bisen Jun 20 2007 5000 0
  Latest Navs
 
Latest NAV Latest Dividend
1986.457 0.00
  1 Year NAV Chart
 
Chart.

  Previous NAV
 
Date NAV (Rs.)
18 Feb 2011 1986.457
17 Feb 2011 1983.1291
15 Feb 2011 1979.509
14 Feb 2011 1959.6783
11 Feb 2011 1974.0903
  Asset Allocation
 
Type AssetValue
Equity 100.51
Debt 0.00
Others 0.00
  Return Summary
 

Scheme Name 3MONTH 6MONTH 1YEAR
Kotak GOLD ETF 1.24 9.02 21.59
Nifty -9.00 -0.37 11.69
Sensex -8.63 -0.25 11.54
  Sectorial Allocation
 


No data available

  Previous Dividend
 
No data available
  Scheme Portfolio
 
No data available
  Contact Information
 
Address Phone Fax Website
36-38A,3rd Floor,Nariman Bhawan,227, Nariman Point,Mumbai - 400021. 66384400 66384455 www.kotakmutual.com

  Mutual fund partners

To View Offer Document click on the Logos.

Company Search

New Trading Platforms

  Insta Plus
  View Insta Plus Demo

Copyright©2010. All rights Reserved.
Equities: Equities transactions executed by Reliance Securities Limited | NSE SEBI Registration Number Capital Market :- INB 231234833 |BSE SEBI Registration Number Capital Market :- INB 011234839 | NSE SEBI Registration Number Derivatives :- INF 231234833 | Mutual Funds : Reliance Securities Limited | AMFI ARN No.29889
In case of any grievances/complaints please write to us at: grievance@rsec.co.in
This site is best viewed in 1024x768 and higher resolution.