Mutual Funds Managed by Abhishek Bisen
Updated June 2026 · 52 active funds · data from AMFI NAVs
Abhishek Bisen manages or co-manages 52 mutual fund schemes tracked on FindMF, across Kotak Mahindra. The table below lists those funds with returns, risk metrics and real expense ratios, all computed independently from AMFI daily NAVs. Manager attribution comes from fund disclosures; co-managed funds appear under each named manager. This page aggregates a manager's schemes for reference - it is not a rating of the manager or a recommendation.
| # | Scheme | 1Y | 3Y | 5Y | Sharpe | Max DD | TER | AUM |
|---|---|---|---|---|---|---|---|---|
| 1 | Kotak Silver ETF Fund of Fund Kotak Mahindra | +115.16% | +44.46% | - | 1.09 | -45.6% | 0.59% | ₹981 Cr |
| 2 | Kotak Gold Fund Kotak Mahindra | +47.75% | +32.54% | +22.69% | 1.17 | -24.1% | 0.71% | ₹6.4K Cr |
| 3 | Kotak US Specific Equity Passive FOF Kotak Mahindra | +46.66% | +32.04% | +22.08% | 0.78 | -29.1% | 0.54% | ₹3.7K Cr |
| 4 | Kotak Nifty Smallcap 50 Index Fund Kotak Mahindra | -3.70% | +22.34% | - | 0.80 | -25.0% | 0.20% | ₹177 Cr |
| 5 | Kotak Manufacture in India Fund Kotak Mahindra | +9.08% | +20.94% | - | 0.78 | -22.3% | 0.59% | ₹2.5K Cr |
| 6 | Kotak Multicap Fund Kotak Mahindra | +1.62% | +20.57% | - | 0.63 | -21.0% | 0.45% | ₹23.1K Cr |
| 7 | Kotak Business Cycle Kotak Mahindra | +1.38% | +16.44% | - | 0.57 | -18.4% | 0.63% | ₹136 Cr |
| 8 | Kotak Multi Asset Omni FOF Kotak Mahindra | +6.05% | +16.16% | +15.71% | 1.01 | -15.3% | 0.94% | ₹2.4K Cr |
| 9 | Kotak Business Cycle Fund Kotak Mahindra | +0.03% | +14.77% | - | 0.47 | -18.9% | 0.63% | ₹2.8K Cr |
| 10 | Kotak Aggressive Hybrid Fund Kotak Mahindra | +0.94% | +13.98% | +12.60% | 0.62 | -14.6% | 0.47% | ₹8.1K Cr |
| 11 | Kotak Banking & Financial Services Fund Kotak Mahindra | +0.17% | +13.21% | - | 0.57 | -16.7% | 0.68% | ₹1.4K Cr |
| 12 | Kotak Equity Savings Fund Kotak Mahindra | +4.21% | +10.68% | +10.30% | 0.67 | -6.0% | 0.69% | ₹9.6K Cr |
| 13 | Kotak Balanced Advantage Fund Kotak Mahindra | -0.67% | +10.10% | +9.44% | 0.41 | -9.1% | 0.57% | ₹17.4K Cr |
| 14 | Kotak Debt Hybrid Kotak Mahindra | +1.39% | +9.33% | +9.10% | 0.48 | -4.4% | 0.48% | ₹3.0K Cr |
| 15 | Kotak Nifty 50 Index Fund Kotak Mahindra | -7.03% | +8.51% | - | 0.22 | -16.5% | 0.07% | ₹1.0K Cr |
| 16 | Kotak Income Plus Arbitrage Omni FOF Kotak Mahindra | +5.51% | +7.78% | - | 0.18 | -1.0% | 0.45% | ₹7.6K Cr |
| 17 | Kotak Bond Short Term Kotak Mahindra | +4.97% | +7.50% | +6.46% | -0.67 | -1.3% | 0.39% | ₹17.2K Cr |
| 18 | Kotak Dynamic Bond Fund Kotak Mahindra | +3.98% | +7.50% | +6.45% | -0.28 | -2.4% | 0.59% | ₹2.6K Cr |
| 19 | Kotak Nifty SDL Apr 2027 Top 12 Equal Weight Index Fund Kotak Mahindra | +5.58% | +7.40% | - | -0.42 | -3.6% | 0.20% | ₹7.0K Cr |
| 20 | Kotak Nifty SDL Plus AAA PSU Bond Jul 2028 60:40 Index Fund Kotak Mahindra | +4.87% | +7.30% | - | 0.09 | -0.6% | 0.21% | ₹545 Cr |
| 21 | Kotak Nifty SDL Jul 2026 Index Fund Kotak Mahindra | +5.61% | +7.10% | - | - | -0.3% | 0.20% | ₹100 Cr |
| 22 | Kotak Nifty SDL Apr 2032 Top 12 Equal Weight Index Fund Kotak Mahindra | +2.75% | +7.06% | - | -0.20 | -3.2% | 0.20% | ₹3.4K Cr |
| 23 | Kotak Bond Fund Kotak Mahindra | +3.10% | +6.98% | +6.16% | -0.42 | -2.4% | 0.69% | ₹2.0K Cr |
| 24 | Kotak Nifty SDL Jul 2033 Index Fund Kotak Mahindra | +2.38% | +6.94% | - | 0.06 | -2.3% | 0.22% | ₹195 Cr |
| 25 | Kotak Gilt - Investment Kotak Mahindra | +0.40% | +5.73% | +5.51% | -0.47 | -4.7% | 0.47% | ₹2.9K Cr |
| 26 | Kotak Multi Asset Allocation Fund Kotak Mahindra | +18.07% | - | - | 1.11 | -13.8% | 0.50% | ₹12.1K Cr |
| 27 | Kotak MNC Fund Kotak Mahindra | +18.03% | - | - | 0.39 | -16.5% | 0.64% | ₹2.0K Cr |
| 28 | Kotak Healthcare Fund Kotak Mahindra | +16.17% | - | - | 0.70 | -18.0% | 0.74% | ₹462 Cr |
| 29 | Kotak Special Opportunities Fund Kotak Mahindra | +6.36% | - | - | -0.15 | -23.1% | 0.79% | ₹1.4K Cr |
| 30 | Kotak CRISIL - IBX AAA Financial Services Index Sep - 2027 Fund Kotak Mahindra | +5.96% | - | - | 0.16 | -0.4% | 0.20% | ₹582 Cr |
Ranked by trailing return (3Y where available, else 1Y). Manager attribution from fund disclosures. Returns, Sharpe, drawdown and TER are computed independently from AMFI NAVs - see methodology. No paid placement.