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s Ready Reckoner Name Investment Theme Product Positioning Key Features Manager Monthly AAUM Mcap (%)* (Rs. Crs) Overweight Underweight Beta Sharpe Standard Deviation (%) 3 years Alpha (%) Kotak 50 Large cap Invest with industry leaders a. Favours industry leaders in cost, innovation, brand, competence, etc. with a proven execution track record across cycles b. conviction and long term calls taken Mr. Harish Krishnan 1,395.51 78.48 14.32 5.77 1.43 3. Media & Entertainment 1. Information Technology 2. Financial Services 3. Telecom 0.97 0.41 13.33 3 Kotak Classic Large cap Long term wealth creators a. Focus on sustainable large cap stories which can withstand market shocks b. These are companies with pricing power for their competitive advantage or entry barriers Nifty 100 133.87 79.25 9.99 1.21 9.55 3. Telecom 1. Financial Services 2. Construction 3. Information Technology 0.96 2.06 Kotak Opportunities Spotting the hidden gems Identifies investment opportunities across market capitalisation and sectors 0 2,242.37 57.94 25.99 12.15 3.92 3. Industrial Manufacturing 1. Information Technology 3. Automobile 0.99 0.64 13.91 3.24 Kotak Select Focus Multi Cap Focus on few selected sectors a. Invests in a few sectors as the various sectors of the economy tend to perform differently at different points of time b. Flexibility to move across market caps depending on their attractiveness during the economic phase Nifty 200 16,491.82 75.68 14.20 6.37 3.76 1. Cement & Cement Products 2. Financial Services 3. Energy 1. Information technology 2. Consumer Goods 3. Metals 0.99 0.63 13.75 4.09 Kotak Tax Saver ELSS Tax advantage with potential equity growth a. Portfolio is diversified across sectors and market capitalization segments b. Offers dual benefits of growth and tax savings 0 728.42 56.51 26.70 14.45 2.34 3. Industrial Manufacturing 1. Information technology 3. Automobile 1.03 14.58 1.51 Kotak Midcap Mid cap Spot them young, watch them grow a. Identifies the hidden growth potential of mid-cap sized companies b. Portfolio exhibits higher volatility than large caps however tends to have a larger return base c. Buy and hold strategy Nifty Midcap 100 824.90 21.16 37.86 37.87 3.11 2. Automobiles 3. Chemicals 2. Information Technology 3. Pharma 0.96 0.81 15.29 0.1 Kotak Emerging Mid and Small Cap Emerging leaders a. Stands for winning investment ideas across the mid & small cap range offering decent growth trajectory over the medium to long term horizon b. Buy and hold strategy c. Riskier than a large cap fund but offers faster growth rate since it has a smaller based. d. 15%-20% allocation to large cap opportunities as tactical plays Mid Small Cap 2,901.38 12.95 49.52 32.58 4.95 2. Consumer Goods 3. Chemicals 2. Construction 3. Information Technology 0.89 0.88 14.60-0.87 Kotak Infrastructure & Economic Reform Thematic: Infrastructure True to label a. Identifies ""flow related"" companies - These benefit from spending from government, private and household (in terms of properties). They are not asset owners. b. Focus on high quality companies exhibiting superior ROE, positive cash flow, low leverage in an otherwise challenging environment Mr. Harish Krishnan 100 457.56 0.95 0.69 14.88 6.93 Kotak Balance Balanced Best of both worlds: equity & debt a. portion: Multi cap strategy to identify outstanding companies having well managed and durable businesses with predictable earnings power b. Debt portion: Actively managed with medium to long term maturity c. er volatility than a pure equity or debt fund & Mr. Abhishek Bisen Crisil Balanced 2,245.30 42.43 11.84 30.84 1.13 10.64 2.99 opportunities a. Discovers arbitrage opportunities by simultaneously entering transactions of long position in cash and exactly off-setting short position in futures b. position is completely hedged Index 12,254.60 0.60 Savings Savings Conservative portfolio with a blend of: a. Income generation - through arbitrage opportunities & debt investment. b. Growth potential - through moderate participation in equity markets c. Tax efficiency - through equity orientation & Mr. Abhishek Bisen 75% of Index + 25% of 1,405.72 0.93 0.74 3.27 2.04 st Details provided are as on December 31, 2017. Ratio Source: ICRA MFI Explorer. Riskfree rate assumed to be 6.20% (FBIL Overnight MIBOR rate as on December 29th, 2017). * The given market cap data is on the basis of new SEBI circular on scheme rationalisation wherein Stocks are categorised as per given AMFI list *As per SID defination, Kotak Midcap Market cap is (2.93% Large Cap, 80.74% Mid Cap, 13.22% Small Cap and 3.11% Cash), and Kotak Emerging fund Market cap is (10.48% Large Cap, 84.57% Mid Cap and 4.95% Cash). For Tax Saver : Minimum Initial Investment: 500. Investment: 500 & in multiples of 500. For all other s : Minimum Initial Investment: 5000. Investment: 1000 & in multiples of 1 For detailed scheme performance, please refer page no. : Field not applicable to the scheme owing to its investment theme. Risk Factor: Mutual investments are subject to market risks, read all scheme related documents carefully. Continuous offer of units of all schemes available at V based prices. LARGECAP SMALLCAP MIDCAP DEBT + CASH

st Performances as on December 31, 2017 Kotak 50 - Dividend - Growth Sensex Index Since Inception (Dec 29, 1998) 19.71 14.00 13.54 (`) #(`) # #(`) 3,05,734 1,20,675 1,11,798 Since Inception Sep 29, 2005 7.57 (`) #(`) # #(`) 12.05 24,467 40,329 29.17 27.91 5.84 4.29 11.34 7.40 6.67 6.16 15.45 11.89 7.63 7.08 Inception date is 29/12/1998. Mr. Harish Krishnan has been managing the fund since 01/01/2014 ^Past performance may or may not be sustained in future.*all payouts during the period have been reinvested in the units of the scheme at the then prevailing V. made at inception. Source: ICRA MFI Explorer. # Name of. ## Name of. Inception date is 29/09/2005. has been managing the fund since 01/09/2008. ^Past performance may or may not be sustained in future.*all payouts during the period have been reinvested in the units of the scheme at the then prevailing V. made at inception. Source: ICRA MFI Explorer. # Name of. ## Name of. Kotak Classic - Growth Kotak Infrastructure and Economic Reform - Growth Nifty 100 100 Since Inception Jul 27, 2005 13.60 13.39 12.94 (`) #(`) # #(`) 48,786 47,683 45,409 Since Inception Feb 25, 2008 9.23 7.44 7.43 (`) #(`) # #(`) 23,850 20,284 20,249 35.39 31.05 45.27 31.52 11.90 16.58 9.65 15.97 13.45 21.71 Inception date is 27/07/2005. has been managing the fund since 01/01/2017. ^Past performance may or may not be sustained in future.*all payouts during the period have been reinvested in the units of the scheme at the then prevailing V. made at inception. Source: ICRA MFI Explorer. # Name of. ## Name of. Inception date is 25/02/2008. Mr. Harish Krishnan has been managing the fund since 01/02/2015. ^Past performance may or may not be sustained in future.*all payouts during the period have been reinvested in the units of the scheme at the then prevailing V. made at inception. Source: ICRA MFI Explorer. # Name of. ## Name of. Kotak Emerging - Growth Kotak Midcap - Growth MidSmallCap Nifty Free Float Midcap 100 Since Inception Mar 30, 2007 14.29 13.57 9.88 (`) #(`) # #(`) 42,102 39,332 27,556 Since Inception Feb 24, 2005 18.02 16.50 13.56 (`) #(`) # #(`) 84,055 71,166 51,237 43.00 54.62 44.02 47.26 19.63 18.98 18.88 24.94 20.83 22.75 19.98 Inception date is 30/03/2007. has been managing the fund since 27/05/2010. ^Past performance may or may not be sustained in future.*all payouts during the period have been reinvested in the units of the scheme at the then prevailing V. made at inception. Source: ICRA MFI Explorer. # Name of. ## Name of. Inception date is 24/02/2005. has been managing the fund since 21/01/2010. ^Past performance may or may not be sustained in future.*all payouts during the period have been reinvested in the units of the scheme at the then prevailing V. made at inception. Source: ICRA MFI Explorer. # Name of. ## Name of.

st Performances as on December 31, 2017 Kotak Opportunities - Growth Kotak Tax Saver - Growth 0 0 Since Inception Sep 09, 2004 15.47 14.94 (`) #(`) # #(`) 1,19,753 67,870 63,861 Since Inception Nov 23, 2005 12.84 12.60 12.22 (`) #(`) # #(`) 43,161 42,078 40,369 34.87 33.76 15.15 13.42 19.00 16.46 Inception date is 09/09/2004. has been managing the fund since 04/08/2012. ^Past performance may or may not be sustained in future.*all payouts during the period have been reinvested in the units of the scheme at the then prevailing V. made at inception. Source: ICRA MFI Explorer. # Name of. ## Name of. Inception date is 23/11/2005. has been managing the fund since 25/08/2015. ^Past performance may or may not be sustained in future.*all payouts during the period have been reinvested in the units of the scheme at the then prevailing V. made at inception. Source: ICRA MFI Explorer. # Name of. ## Name of. Kotak Select Focus - Growth Kotak Balance Since Inception Sep 11, 2009 15.71 Nifty 200 10.69 (`) #(`) # #(`) 33,584 23,247 21,805 Since Inception Nov 25, 1999 CRISIL Balanced Aggressive Index 11.75 (`) #(`) 1,29,274 # #(`) 74,757 34.31 14.82 10.73 20.46 13.96 Inception date is 11/09/2009. has been managing the fund since 04/08/2012. ^Past performance may or may not be sustained in future.*all payouts during the period have been reinvested in the units of the scheme at the then prevailing V. made at inception. Source: ICRA MFI Explorer. # Name of. ## Name of. Inception date is 25/11/1999. Mr. Abhishek Bisen has been managing the fund since 15/04/2008. has been managing the fund since 25/08/2015. ^Past performance may or may not be sustained in future.*all payouts during the period have been reinvested in the units of the scheme at the then prevailing V. made at inception. Source: ICRA MFI Explorer. # Name of. ## Name of. Since Inception Oct 13, 2014 9.27 14.02 Savings - Growth 75% NIFTY 50 ARBITRAGE + 25% 7.30 9.97 6.89 (`) #(`) # #(`) 13,298 12,540 13,357 Inception date is 13/10/2014. has been managing the fund since 17/09/2014. Mr. Abhishek Bisen has been managing the fund since 17/09/2014. ^Past performance may or may not be sustained in future.*all payouts during the period have been reinvested in the units of the scheme at the then prevailing V. made at inception. Source: ICRA MFI Explorer. # Name of. ## Name of. 9.42

About our Managers Name : Mr. Abhishek Bisen Mr. Abhishek Bisen manages 9 funds of Kotak Mahindra Mutual. Top 3 Bottom 3 Names Kotak Global Emerging Market - Growth, *Name of the - MSCI Emerging Market index, Inception date is 26/09/2007. Mr. Abhishek Bisen has been managing the fund since 04/04/2011. Kotak Balance - Dividend, *Name of the - CRISIL Balanced Aggressive Index, Inception date is 25/11/1999. has been managing the fund since 25/08/2015. Mr. Abhishek Bisen has been managing the fund since 15/04/2008. Savings - Growth, *Name of the - 75% NIFTY 50 ARBITRAGE + 25%, Inception date is 13/10/2014. has been managing the fund since 17/09/2014. Mr. Abhishek Bisen has been managing the fund since 17/09/2014. Kotak Gold - Growth, *Name of the - Price of Gold, Inception date is 25/03/2011. Mr. Abhishek Bisen has been managing the fund since 04/03/2011. Kotak Bond - Regular Plan - Growth, *Name of the - CRISIL Composite Bond, Inception date is 25/11/1999. Mr. Abhishek Bisen has been managing the fund since 01/04/2008. Kotak Gilt - Investment - Regular - Growth, *Name of the - I-SEC Composite Gilt Index, Inception date is 29/12/1998. Mr. Abhishek Bisen has been managing the fund since 15/04/2008. Name : manages 13 funds of Kotak Mahindra Mutual. Top 3 Bottom 3 Kotak Global Emerging Market - Growth Kotak Balance - Dividend Savings - Growth Kotak Gold - Growth Kotak Bond - Regular Plan - Growth Kotak Gilt - Investment - Regular - Growth Names Kotak Banking ETF Kotak Classic - Growth Kotak NV20 ETF Kotak US - Growth - Growth Kotak World Gold - Growth 30.39 14.02 2.48 0.89 0.70 41.17 35.39 31.57 12.77 5.84-0.67 26.20 9.97 3.90 4.69 3.82 40.50 31.05 29.57 14.44 4.29 3.54 7.11 1.15 6.46 7.29 11.63 11.90 8.45 6.67 2.71 6.96 6.89 2.54 8.71 8.56 10.89 11.79 6.16 12.49 6.64-2.97 7.24 7.67 15.97 7.63-8.92 5.05-0.96 8.79 8.92 13.45 7.08-7.62 5.07 9.27 3.07 9.63 11.92 13.60 19.07 10.07 7.57-1.29 4.54 7.30 5.02 11.21 13.39 14.34 13.21-1.71 Name : manages 3 funds of Kotak Mahindra Mutual. Names Kotak Opportunities - Growth Kotak Select Focus - Growth Kotak Tax Saver - Growth Kotak Opportunities - Growth, *Name of the - 0, Inception date is 09/09/2004. has been managing the fund since 04/08/2012. Kotak Select Focus - Growth, *Name of the - Nifty 200, Inception date is 11/09/2009. has been managing the fund since 04/08/2012. Kotak Tax Saver - Growth, *Name of the - 0, Inception date is 23/11/2005. has been managing the fund since 25/08/2015. Name : manages 3 funds of Kotak Mahindra Mutual. Names Kotak Midcap - Growth Kotak Emerging - Growth Kotak Balance - Dividend 34.87 34.31 33.76 44.02 43.00 Kotak Midcap - Growth, *Name of the - Nifty Free Float Midcap 100, Inception date is 24/02/2005. has been managing the fund since 21/01/2010. Kotak Emerging - Growth, *Name of the - MidSmallCap, Inception date is 30/03/2007. has been managing the fund since 27/05/2010. Kotak Balance - Dividend, *Name of the - CRISIL Balanced Aggressive Index, Inception date is 25/11/1999. has been managing the fund since 25/08/2015. Mr. Abhishek Bisen has been managing the fund since 15/04/2008. Name : Mr. Harish Krishnan Mr. Harish Krishnan manages 3 funds of Kotak Mahindra Mutual. 47.26 54.62 15.15 14.82 13.42 18.98 19.63 10.73 18.88 19.00 20.46 16.46 22.75 24.94 13.96 19.98 20.83 15.71 12.84 18.02 14.29 15.47 10.69 12.60 16.50 13.57 Kotak Banking ETF, *Name of the - Nifty Bank, Inception date is 10/12/2014. has been managing the fund since 24/11/2014. Kotak Classic - Growth, *Name of the - Nifty 100, Inception date is 27/07/2005. has been managing the fund since 01/01/2017. Kotak NV20 ETF - *Name of the Value 20, Inception date is 01/12/2015. has been managing the fund since 08/12/2015. Kotak US - Growth, *Name of the - S&P 500 International Total Return Net Index, Inception date is 20/12/2013. has been managing the fund since 01/02/2015. - Growth, *Name of the - Index, Inception date is 29/09/2005. has been managing the fund since 01/09/2008. Kotak World Gold - Growth, *Name of the - Financial Times Gold Mines Total - Price, Inception date is 06/06/2008. has been managing the fund since 01/02/2015. Names Kotak Infrastructure and Economic Reform - Growth Kotak India Growth - Series I - Regular Plan - Growth 45.27 32.36 31.52 16.58 9.65 21.71 9.23 12.73 7.44 12.89 Kotak 50 - Dividend 29.17 11.34 15.45 19.71 14.00 Kotak Infrastructure and Economic Reform - Growth, *Name of the - 100, Inception date is 25/02/2008. Mr. Harish Krishnan has been managing the fund since 31/01/2015. Kotak India Growth - Series I - Regular Plan - Growth, *Name of the - Nifty 200, Inception date is 06/05/2015. Mr. Harish Krishnan has been managing the fund since 06/05/2015 Kotak 50 - Dividend, *Name of the -, Inception date is 29/12/1998. Mr. Harish Krishnan has been managing the fund since 15/11/2013.

Name of the This product is suitable for investors who are seeking* Income from arbitrage opportunities in the equity market Investment in arbitrage opportunities in the cash & derivatives segment of the equity market. low risk Kotak 50 Kotak Midcap Investment in equity & equity related securities predominantly in mid cap stocks Kotak Opportunities Kotak Classic Kotak Tax Saver with a 3 year lock in Kotak Emerging Kotak Select Focus Kotak Balance Savings Investment in equity & equity related securities predominantly in mid & small cap companies. generally focused on a few selected sectors Investment in equity & equity related securities balanced with income generation by investing in debt & money market instruments Income from arbitrage opportunities in the equity market & long term capital growth Investment predominantly in arbitrage opportunities in the cash & derivatives segment of the equity market and equity & equity related securities risk Kotak Infrastructure & Economic Reform (formerly known as PineBridge Infrastructure & Economic Reform ) Long term capital appreciation by investing in equity and equity related instruments of companies contributing to infrastructure and economic development of India low risk Mutual investments are subject to market risks, read all scheme related documents carefully.