Compare Funds

See how two funds stack up side by side, real returns, risk, cost and portfolio overlap.

KO
Kotak MFKotak Long Term Fund - Regular Plan - GrowthRegular · Growth
₹11.11 as on 17 Sep 2026
VS
BO
Bank of India MFBank of India Credit Risk Fund - Growth - Direct PlanDirect · Growth
₹14.89 as on 17 Sep 2026
Key Metrics Comparison
MetricKOKotak Long Term Fund - Regular Plan - GrowthBOBank of India Credit Risk Fund - Growth - Direct Plan
Snapshot
AMCKotak MFBank of India MF
CategoryDebt - Long Term FundDebt - Credit Risk Fund
NAV₹11.11 (17 Sep 2026)₹14.89 (17 Sep 2026)
Rating★★★★★★★
BenchmarkNIFTY Long Duration Debt IndexCRISIL Credit Risk Debt Index
Fund ManagerAbhishek BisenAlok Singh
Inception11 Mar 202427 Feb 2015
Returns
1Y2.05%17.89%
3Y10.08%
5Y27.76%
Since Inception4.24%3.50%
Risk
4.473.38
1.39-0.08
-0.460.56
-1.881.89
-0.842.94
-3.45%0.20%
Costs
Expense Ratio0.53%0.62%
Exit LoadNilNIL for 10% of investments and 1% for remaining investments on or before 1Y, NIL after 1Y
Min SIP₹100₹1,000
Min Lumpsum₹100₹5,000
Lock-inNoneNone

Min SIP is reported per fund, not per plan, every plan of a fund shares the same figure.

Portfolio Overlap
Kotak MF100%
Bank of India…100%
0.0%

Only 0.0% of holdings by weight are common between Kotak MF and Bank of India MF, based on each fund's top 11 disclosed holdings, not the full portfolio.

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