Kotak Infrastructure and Economic Reform Fund - Standard Plan-Growth logo

Kotak Infrastructure and Economic Reform Fund - Standard Plan-Growth (0P0000AEK3)

Market Closed
25 May, 22:00
MSE MSE
67. 25
+0.99
+1.4987%
- Market Cap
- Div Yield
0 Volume
66.26
Previous Close
Add Transaction
Day Range
67.25 67.25
Year Range
58.13 68.11
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Summary

0P0000AEK3 closed Monday higher at ₹67.25, an increase of 1.4987% from Friday's close, completing a monthly decrease of -0.2048% or -₹0.14. Over the past 12 months, 0P0000AEK3 stock gained 2.241%.
0P0000AEK3 is not paying dividends to its shareholders.
The stock of the company had never split.
The company's stock is traded on one exchange.

0P0000AEK3 Chart

Kotak Infrastructure and Economic Reform Fund - Standard Plan-Growth (0P0000AEK3) FAQ

What is the stock price today?

The current price is ₹67.25.

On which exchange is it traded?

Kotak Infrastructure and Economic Reform Fund - Standard Plan-Growth is listed on MSE.

What is its stock symbol?

The ticker symbol is 0P0000AEK3.

Does it pay dividends? What is the current yield?

It does not pay dividends to its shareholders.

What is its market cap?

As of today, no market cap data is available.

Has Kotak Infrastructure and Economic Reform Fund - Standard Plan-Growth ever had a stock split?

No, there has never been a stock split.

Kotak Infrastructure and Economic Reform Fund - Standard Plan-Growth Profile

MSE Exchange
DE Country

Overview

The investment objective of the Scheme is to generate returns through investments in debt and money market instruments with a view to reducing the interest rate risk. Designed for investors seeking to mitigate the risk of interest rate fluctuations, the Scheme focuses on debt and money market securities that mature on or before the maturity of the Scheme itself. This strategic approach aims to provide a relatively stable investment avenue, although it's important to note that there is no guarantee that the investment objective will be realized fully.

Products and Services

The Scheme focuses on providing investors with a secure pathway to potentially gain returns while attempting to minimize exposure to interest rate volatility. The offerings are structured around debt and money market instruments:

  • Debt Instruments: The Scheme invests in a variety of debt instruments, aiming to provide investors with stable and predictable returns. Debt instruments may include but are not limited to, bonds, debentures, and other fixed-income securities that offer regular interest income. The selection of these instruments is primarily based on their maturity profiles, aligning with the Scheme's maturity to mitigate interest rate risk.
  • Money Market Instruments: For those looking to enhance liquidity while seeking returns, the Scheme also allocates part of its portfolio to money market instruments. These may comprise treasury bills, commercial papers, repos, and other short-term securities that offer liquidity and relatively lower risk compared to longer maturity debt securities. The inclusion of money market instruments serves to further diversify the Scheme's portfolio, aiming to achieve a balance between risk and return in the short term leading up to the Scheme’s maturity.

Contact Information

Address: Emilii Plater, Warsaw, Poland, 00-125
Phone: 48 66 298 9999