MF
MFGenie.ai
Credit Riskregularidcw

Kotak Credit Risk Fund - Regular Plan - Standard Income Distribution cum capital withdrawal option

Kotak Mahindra Mutual Fund

₹13.4976

0.02 (+0.12%)

NAV as of 10 Apr 2026

Returns (Lumpsum)

CAGR for periods ≥ 1 year
1 Week-0.09%
1 Month-0.59%
3 Months+0.77%
6 Months+2.25%
1 Year+7.53%
3 Years (CAGR)+7.40%
5 Years (CAGR)+5.74%
10 Years (CAGR)+2.69%
Since Inception (Jul 2012)+1.86%

SIP Returns (XIRR)

₹1,000/month SIP, annualised
1 Year SIP+5.67%
3 Year SIP+7.11%
5 Year SIP+6.38%
Since Inception (Jul 2012)+2.95%

Fund Details

Fund HouseKotak Mahindra Mutual Fund
CategoryCredit Risk
Plan Typeregular
Optionidcw
Min SIP₹100
Min Lumpsum₹100
Launch Date09 Jul 2012
AMFI Code117715

Risk Metrics

Sharpe Ratio

Alpha

Beta

Sortino

Std Dev

Max Drawdown

Performance Comparison

Performance Comparison

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Investment Objective

Kotak Credit Risk Fund - Regular Plan - Standard Income Distribution cum capital withdrawal option by Kotak Mahindra Mutual Fund is a Credit Risk fund that aims to generate optimal returns for investors based on its investment mandate. The fund follows a disciplined investment process aligned with SEBI regulations for the Credit Risk category.

About This Fund

Kotak Credit Risk Fund - Regular Plan - Standard Income Distribution cum capital withdrawal option is a Credit Risk mutual fund offered by Kotak Mahindra Mutual Fund. The fund has been operational for over 13 years.

Who Should Invest?

  • Investors with a high risk appetite seeking long-term wealth creation
  • Investors with an investment horizon of 5 years or more
  • SIP investors who can benefit from rupee cost averaging during market fluctuations