Compare Funds

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

KO
Kotak MFKotak Multi Asset Allocation Fund - Annual DividendIDCW
₹12.07 as on 15 Sep 2017
VS
3O
360 ONE360 ONE Multi Asset Allocation Fund - Growth - Direct PlanDirect · Growth
₹12.38 as on 16 Sep 2026
Key Metrics Comparison
MetricKOKotak Multi Asset Allocation Fund - Annual Dividend3O360 ONE Multi Asset Allocation Fund - Growth - Direct Plan
Snapshot
AMCKotak MF360 ONE
CategoryHybrid - Balanced Hybrid FundHybrid - Multi Asset Allocation
NAV₹12.07 (15 Sep 2017)₹12.38 (16 Sep 2026)
Rating★★★★★★
BenchmarkCRISIL Short Term Bond IndexGold-India
Fund ManagerAbhishek BisenMayur Patel
Inception21 Jan 201120 Aug 2025
Returns
1Y18.54%
3Y
5Y
Since Inception22.00%
Risk
10.48
0.45
2.08
25.98
4.07
-7.38%
Costs
Expense Ratio2.42%0.59%
Exit Load1% on or before 1Y, Nil after 1YNil upto 10% of units and 1% for remaining units on or before 12M, Nil after 12M
Min SIP₹1,000
Min Lumpsum₹10,000₹1,000
Lock-inNoneNone

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

Portfolio Overlap
Kotak MF99%
360 ONE99%
1.4%

Only 1.4% of holdings by weight are common between Kotak MF and 360 ONE, based on each fund's top 20 disclosed holdings, not the full portfolio.

Common holdingKotak MF360 ONE
AXIS Bank Ltd.1.64%1.40%

Category context: Hybrid vs Hybrid. Open the full Screener →