Explore Asset managers Kotak India Focus Portfolio
Asset Management Company

Kotak India Focus Portfolio

Kotak India Focus Portfolio is a SEBI-registered asset manager. PMS Sahi Hai tracks 1 of its 1 PMS strategy — scored on the same seven pillars as every other house.

1 strategy₹5 Cr trackedAvg Nyra 8.5
AUM tracked
₹5 Cr
Strategies
1
1 PMS
Avg Nyra Score
8.5
Best 3Y CAGR
18%
Kotak India Focus Portfolio - series I
Fund managers
About the house

How Kotak India Focus Portfolio invests

Across the strategy PMS Sahi Hai tracks, Kotak India Focus Portfolio runs multi cap mandates in a growth style, with ₹5 Cr under watch and a track record stretching back 13 years.

Its strongest three-year run on our shelf is 18% CAGR on Kotak India Focus Portfolio - series I, net of fees. Every strategy here is graded on the same seven pillars — returns, risk, manager tenure, fees, concentration, transparency and AUM fit — so Kotak India Focus Portfolio can be read side by side against any other house on the platform, sales deck excluded.

Categories
Multi Cap
Styles
Growth
Minimums
₹50 L (PMS)

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