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Index FundsKotak Mahindra Asset Management Company Limited.

Kotak Nifty SDL Plus AAA PSU Bond Jul 2028 60 40 Index Fund Direct Plan - Growth

Benchmark: Nifty SDL Plus AAA PSU Bond Jul 2028 60:40 Index · Riskometer: Moderate

₹13.2672

NAV (2026-08-31)

₹495.278 Cr

AUM (2026-08-31)

0.2102%

EXPENSE RATIO (DIRECT)

2022-09-29

INCEPTION

BQuality · 70.3/100
?Safety · -/100
ACompound · 87/100

Punji Fund Health Score - percentile-within-category. See methodology.

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Rolling CAGR by holding period - min, median, max

Each group is one holding-period length. Full range of outcomes across every overlapping window in the fund's history, not one trailing number.

0%3.0%6.0%9.1%12%1Y3Y
Min rolling CAGRMedian rolling CAGRMax rolling CAGR
MetricValuePercentileCategory median
3Y Rolling CAGR7.8%33.11th 12.7%

This fund tracks an index, so measuring alpha against that same index would only report its tracking error.

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Top sector holdings

Share of portfolio (% to NAV) in each of the top sectors.

100%TOP 1100%
Other 100%

TOP HOLDINGS

Tamil Nadu State Govt - 2028 - Tamil Nadu ()17.52%
NATIONAL BANK FOR AGRICULTURE & RURAL DEVELOPMENT** ()8.41%
REC LTD** ()6.92%
Maharashtra State Govt - 2028 - Maharashtra ()6.32%
Tamil Nadu State Govt - 2028 - Tamil Nadu ()5.92%
Tamil Nadu State Govt - 2028 - Tamil Nadu ()5.72%
Gujarat State Govt - 2028 - Gujarat ()5.04%
Power Finance Corporation Ltd.** ()3.96%
REC LTD** ()3.58%
Power Finance Corporation Ltd.** ()3.55%

This fund tracks an index, so its behaviour mirrors that index rather than a manager's decisions. Matching it to peers on behaviour would not say anything useful.

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Asset Allocation

As of Jul-2026

96.43%TOP 3100%
Equity 0%Debt 96.43%Cash 3.57%

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Market Cap Split

As of Jul-2026

86.77%11.45%TOP 3100%
Large 86.77%Mid 11.45%Small 1.76%

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Credit Quality

As of Jul-2026

37.91%58.52%TOP 496%
AAA 37.91%AA 0%Sovereign 58.52%Other 0%

Portfolio analytics as of Jul-2026.

Data as of 2026-09-02. Source: AMFI disclosures via Punji. Not investment advice.