Kotak Mahindra Mutual Fund

Kotak Gilt Investment Direct-Growth

Debt: Gilt - Growth (Open ended)
Kotak Gilt Investment Direct-GrowthNAV: 112.15 as on 06 Jul, 2026
Risk levelCategoryBenchmark
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Factsheet
SEBI Riskometer: ModerateCategory: Debt: GiltBenchmark: NIFTY All Duration G-Sec Index
NAV: ₹112.15-0.02%
07 Jul 2026

Holdings Analysis

Equity, debt and cash allocation snapshot with market cap distribution for Kotak Gilt Investment Direct-Growth.

Asset Allocation

As on 30 Jun 2026
Debt
98.03%
Others
1.97%

Historical Asset Allocation

Asset30 Jun 202631 May 202630 Apr 202631 Mar 202628 Feb 202631 Jan 2026
Equity0.00%0.00%0.00%0.00%0.00%0.00%
Debt98.03%82.03%82.62%93.56%98.09%88.04%
Others (incl. cash)1.97%17.97%17.38%6.44%1.91%11.96%
Commodities0.00%0.00%0.00%0.00%0.00%0.00%
Real Estate0.00%0.00%0.00%0.00%0.00%0.00%

Portfolio Snapshot

No. of Securities
57
Top Holding %
15.24%
Top 5 Holdings %
55.11%
Top 10 Holdings %
77.38%
Modified Duration
6.71 yrs
Avg. Maturity
13.11 yrs
Yield to Maturity
7.37%
AUM
₹2,257 Cr
Expense Ratio
0.48%
Since Inception
7.94%
Max Drawdown
-0.13%
Sharpe Ratio
0.12

Top Portfolio Holdings by Weight

Latest portfolio holdings sorted by allocation weight. Includes instrument name, sector, number of shares, market value (₹ Cr) and percentage of net assets. Switch dates or categories using the controls below.
InstrumentSectorNo. of SharesValue (Rs. Cr)WeightChange
GOISovereign3,69,99,500344.0215.24%0.34%
Karnataka StateOthers3,30,00,000331.7614.70%0.41%
GOISovereign2,26,30,400224.459.94%8.83%
Tamilnadu StateOthers1,90,00,000193.898.59%-
Tamilnadu StateOthers1,50,00,000149.846.64%0.18%
Uttar Pradesh StateOthers1,40,00,000140.456.22%0.17%
Karnataka StateOthers1,14,41,500115.065.10%-1.82%
Karnataka StateOthers1,05,91,700106.964.74%0.13%
Tamilnadu StateOthers92,01,50092.254.09%0.10%
Bihar StateOthers50,00,00047.992.13%0.05%
GOISovereign44,26,38944.231.96%0.08%
Tamilnadu StateOthers40,00,00040.81.81%-
Odisha StateFinancial25,30,10025.31.12%0.03%
Tamilnadu StateOthers25,00,00024.991.11%0.03%
GOISovereign46,39,40021.740.96%0.03%
GOISovereign31,19,60018.080.80%0.02%
GOISovereign31,19,60017.430.77%0.02%
GOISovereign35,96,60016.90.75%0.03%
GOISovereign41,10,40016.620.74%0.04%
GOISovereign35,96,60016.310.72%0.02%
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Debt Holdings — Credit Quality Profile

Allocation of debt instruments by credit rating (AAA, AA, A, and below investment grade) as a percentage of net assets, compared against the category average. Higher AAA allocation indicates lower credit risk.
RatingFundCategory
SOV
98.03%
94.77%
Cash & Call Money
1.97%
6.95%
Cash-
-1.80%
Others-
0.00%

Debt Insights

A detailed look at the debt holdings of this scheme — Is the scheme yielding enough? Includes credit quality, instrument breakdown and SEBI risk classification.

SEBI PRC matrix

Credit risk
Interest risk
LowModerateHigh
Low
Moderate
High

Instruments

Full nameDescriptionCoupon rateMaturityRating rawWeight
GOIGOI Securities6.90%15/04/2065SOV15.24%
Karnataka StateState Development Loan7.58%11/03/2040SOV14.70%
GOIGOI Securities7.24%18/08/2055SOV9.94%
Tamilnadu StateState Development Loan7.80%03/06/2041SOV8.59%
Tamilnadu StateState Development Loan7.12%18/02/2032SOV6.64%
Uttar Pradesh StateState Development Loan7.62%04/03/2041SOV6.22%
Karnataka StateState Development Loan7.49%04/02/2035SOV5.10%
Karnataka StateState Development Loan7.55%11/08/2035SOV4.74%
Tamilnadu StateState Development Loan7.39%28/01/2034SOV4.09%
Bihar StateState Development Loan6.88%09/07/2035SOV2.13%
GOIGOI Securities7.30%19/06/2053SOV1.96%
Tamilnadu StateState Development Loan7.69%03/06/2033SOV1.81%
Odisha StateState Development Loan7.34%28/01/2033SOV1.12%
Tamilnadu StateState Development Loan7.31%11/02/2033SOV1.11%
GOIGOI Securities0.00%06/05/2037SOV0.96%
GOIGOI Securities0.00%25/05/2034SOV0.80%
GOIGOI Securities0.00%25/11/2034SOV0.77%
GOIGOI Securities0.00%22/04/2037SOV0.75%
GOIGOI Securities0.00%22/04/2039SOV0.74%
GOIGOI Securities0.00%22/10/2037SOV0.72%
GOIGOI Securities0.00%22/10/2035SOV0.71%
GOIGOI Securities0.00%25/11/2036SOV0.67%
GOIGOI Securities0.00%22/10/2036SOV0.67%
GOIGOI Securities0.00%15/04/2039SOV0.54%
GOIGOI Securities0.00%22/10/2039SOV0.53%
GOIGOI Securities0.00%22/04/2036SOV0.53%
GOIGOI Securities0.00%06/05/2038SOV0.49%
West Bengal StateState Development Loan6.98%17/11/2037SOV0.42%
GOIGOI Securities0.00%15/10/2042SOV0.41%
GOIGOI Securities0.00%25/11/2041SOV0.38%
GOIGOI Securities0.00%15/10/2043SOV0.37%
GOIGOI Securities0.00%25/05/2037SOV0.32%
GOIGOI Securities0.00%25/05/2041SOV0.31%
GOIGOI Securities0.00%25/11/2037SOV0.31%
GOIGOI Securities0.00%22/04/2038SOV0.30%
GOIGOI Securities0.00%15/04/2044SOV0.30%
GOIGOI Securities0.00%15/10/2044SOV0.29%
GOIGOI Securities0.00%25/05/2035SOV0.28%
GOIGOI Securities0.00%06/11/2037SOV0.27%
GOIGOI Securities0.00%15/04/2045SOV0.27%
Tamilnadu StateState Development Loan8.37%16/05/2028SOV0.23%
Maharashtra StateState Development Loan7.70%19/10/2030SOV0.23%
Tamilnadu StateState Development Loan7.38%06/03/2054SOV0.14%
Tamilnadu StateState Development Loan7.84%13/07/2026SOV0.13%
Uttar Pradesh StateState Development Loan7.91%27/10/2037SOV0.12%
GOIGOI Securities0.00%22/10/2038SOV0.10%
GOIGOI Securities0.00%25/11/2039SOV0.10%
Uttar Pradesh StateState Development Loan8.39%16/05/2028SOV0.09%
Maharashtra StateState Development Loan8.08%26/12/2028SOV0.09%
GOIGOI Securities0.00%25/05/2042SOV0.08%
Tamilnadu StateState Development Loan7.80%27/07/2032SOV0.07%
GOIGOI Securities7.09%25/11/2074SOV0.06%
Maharashtra StateState Development Loan7.70%08/03/2031SOV0.05%
Karnataka StateState Development Loan6.78%23/09/2032SOV0.04%
Gujarat StateState Development Loan8.16%09/05/2028SOV0.01%
GOIGOI Securities6.67%17/12/2050SOV0.00%

Frequently Asked Questions

What are the top holdings of Kotak Gilt Investment Direct-Growth?
The top holdings of Kotak Gilt Investment Direct-Growth sorted by portfolio weight are listed in the Top Portfolio Holdings section of the Holdings tab.
How many stocks does Kotak Gilt Investment Direct-Growth hold in its portfolio?
Kotak Gilt Investment Direct-Growth holds 57 securities in its portfolio. The top 5 holdings account for 55.11% of the portfolio and the top 10 for 77.38%.
What is the sector allocation of Kotak Gilt Investment Direct-Growth?
The sector allocation of Kotak Gilt Investment Direct-Growth is in the Sector Allocation section, showing each industry's weight in the portfolio.
What is the equity and debt allocation of Kotak Gilt Investment Direct-Growth?
As of 30 Jun 2026, Kotak Gilt Investment Direct-Growth has 0.00% in equity, 98.03% in debt and 1.97% in cash/others. This asset mix determines the fund's overall risk-return profile. The debt portfolio has a yield to maturity (YTM) of 7.37%.
What is the market cap allocation of Kotak Gilt Investment Direct-Growth?
The market cap distribution of Kotak Gilt Investment Direct-Growth — Large, Mid and Small Cap — is shown as a chart in the Holdings Analysis section.
Is Kotak Gilt Investment Direct-Growth a concentrated or diversified fund?
Kotak Gilt Investment Direct-Growth holds 57 securities, with the top 10 accounting for 77.38% of the portfolio and the top 5 for 55.11%. This is a moderately diversified fund balancing conviction positions with risk spread.
What is the credit quality of Kotak Gilt Investment Direct-Growth?
The debt holdings of Kotak Gilt Investment Direct-Growth are rated as follows — SOV: 98.03%, Cash & Call Money: 1.97%. Higher allocation to AAA and sovereign instruments means lower credit risk. The full rating profile compared to the category average is in the Credit Rating section.
How often does Kotak Gilt Investment Direct-Growth change its portfolio?
The portfolio currently holds 57 securities with the top 10 accounting for 77.38% as of 30 Jun 2026. Portfolio turnover reflects how actively the fund manager trades. A high turnover increases transaction costs while a low turnover reflects a buy-and-hold approach. Historical asset allocation snapshots across multiple dates are in the Holdings Analysis section.
What is the PE ratio of Kotak Gilt Investment Direct-Growth's portfolio?
The portfolio-level PE, PB and debt metrics of Kotak Gilt Investment Direct-Growth are in the Holdings Analysis section. These help assess whether the portfolio is invested in relatively cheap or expensive securities.
When is the latest portfolio disclosure for Kotak Gilt Investment Direct-Growth?
The latest portfolio disclosure for Kotak Gilt Investment Direct-Growth is as of 30 Jun 2026. Mutual funds and ETFs in India are required to disclose their full portfolio monthly, within 10 business days of month-end. You can switch between historical disclosure dates using the date selector in the Top Portfolio Holdings section.