MFLens
Trailing returns lie. Rolling data doesn’t.

Kotak Multi Asset Allocation Fund

Multi AssetKotak Mahindra Mutual Fund
AVERAGE QUALITY56/100

Ranks #12 of 18 Multi Asset funds

Consistency Score

80.9%

3Y rolling

Sharpe Ratio

0.75

3Y

Alpha

1.22%

vs benchmark · 3Y

CAGR

9.47%

3Y annualised

Full analysis at mflens.in

15 September 2026

Past performance does not guarantee future returns. Data via MFLens rolling analysis.

Kotak Multi Asset Allocation Fund | MFLens Scorecard