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Mutual funds that hold 8.09% Kotak Mahindra Prime Limited**

As of 2025-01-31, 8 Indian mutual funds disclose a holding in 8.09% Kotak Mahindra Prime Limited**. The highest allocation is Nippon India CRISIL - IBX AAA Financial Services - Dec 2026 Index Fund An open-ended Target Maturity Index Fund investing in constituents of CRISIL_x0002_IBX AAA Financial Services Index – Dec 2026. A Moderate Interest Rate Risk and Relatively Low Credit Risk at 6.52% of its portfolio; the average across these funds is about 2.67%.

8Funds holding 8.09% Kotak Mahindra Prime Limited**
6.52%Highest portfolio weight
2.67%Average portfolio weight
Mutual fundFund house% of portfolio
Nippon India CRISIL - IBX AAA Financial Services - Dec 2026 Index Fund An open-ended Target Maturity Index Fund investing in constituents of CRISIL_x0002_IBX AAA Financial Services Index – Dec 2026. A Moderate Interest Rate Risk and Relatively Low Credit RiskNippon India Mutual Fund6.52%
Nippon India CRISIL - IBX AAA Financial Services - Dec 2026 Index Fund (An open-ended Target Maturity Index Fund investing in constituents of CRISIL_x0002_IBX AAA Financial Services Index – Dec 2026. A Moderate Interest Rate Risk and Relatively Low Credit Risk.)Nippon India Mutual Fund6.23%
Nippon India CRISIL - IBX AAA Financial Services - Dec 2026 Index Fund An open-ended Target Maturity Index Fund investing in constituents of CRISILIBX AAA Financial Services Index – Dec 2026. A Moderate Interest Rate Risk and Relatively Low Credit RiskNippon India Mutual Fund5.65%
RLMF870Nippon India Mutual Fund2.76%
RLMF005Nippon India Mutual Fund0.05%
Nippon India Short Duration FundNippon India Mutual Fund0.05%
Nippon India Short Term Fund (An open ended short term debt scheme investing in instruments such that the Macaulay duration of the portfolio is between 1 to 3 years. Relatively High interest rate risk and moderate Credit Risk.)Nippon India Mutual Fund0.05%
Nippon India Short Duration Fund (An open ended short term debt scheme investing in instruments such that the Macaulay duration of the portfolio is between 1 to 3 years. Relatively High interest rate risk and moderate Credit Risk.)Nippon India Mutual Fund0.03%

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