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Kotak Special Situations Value Series I & Series II

About Company

Kotak Mahindra Asset Management Firm Limited, a company incorporated under the Companies Operate, 1956, was appointed as the Investment Manager of the Kotak Mahindra Cooperative Fund on August 8, 1994 by virtue of the Investment Management Agreement dated May 20, 1996 as amended. Until now. It is 100% owned by Kotak Mahindra Bank Ltd. The Company is authorized to provide portfolio management services under the SEBI (Portfolio Manager) Rules, 1993, SEBI Mutual Funds Section 1996, Department of Funds, Department of Investment Management and SEBI Rules (“Mutual Funds”). .

Manish Jain

Fund Manager, Kotak Special Situations Value Series I & Series II

Anshul Saigal

Fund Manager, Kotak Special Situations Value Series I & Series II

Unique Feature

Take advantage of several of value opportunities and special situations

Year of Inception 2017
Number of Stocks
20-24
Investment Horizon
Long Term
Fund Managers
Anshul Saigal

Investment Philosophy

The Kotak Special Situations Value aims at long-term wealth by investing in the following two opportunity types:

–        Stocks trading at discount value

–      Unlock value through events like knockdown, split and more.

Investments are associated with value and special conditions.

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