| KOTAK PIONEER FUND
An open ended equity scheme investing in pioneering innovation theme.
| KOTAK PIONEER FUND
An open ended equity scheme investing in pioneering innovation theme.

  

  
Investment Objective

The investment objective of the scheme is to generate capital appreciation from a diversified portfolio of equity, equity related instruments and units of global mutual funds which invests into such companies that utilize new forms of production, technology, distribution or processes which are likely to challenge existing markets or value networks, or displace established market leaders, or bring in novel products and/or business models. However, there is no assurance that the objective of the scheme will be achieved.

The investment objective of the scheme is to generate capital appreciation from a diversified portfolio of equity, equity related instruments and units of global mutual funds which invests into such companies that utilize new forms of production, technology, distribution or processes which are likely to challenge existing markets or value networks, or displace established market leaders, or bring in novel products and/or business models. However, there is no assurance that the objective of the scheme will be achieved.

Issuer/Instrument Rating % to Net
Assets

Equity & Equity related
Retailing 16.00
ETERNAL LIMITED 4.17
VISHAL MEGA MART LIMITED 2.84
AVENUE SUPERMARTS LTD. 2.21
Trent Ltd 2.21
INFO EDGE (INDIA) LTD. 1.51
Medplus Health Services Ltd. 1.20
SWIGGY LTD 1.09
BRAINBEES SOLUTIONS LIMITED 0.77
Healthcare Services 6.92
ASTER DM HEALTHCARE LTD 3.65
KRISHNA INSTITUTE OF MEDICAL 2.47
VIJAYA DIAGNOSTIC CENTRE PVT 0.80
Auto Components 6.40
UNO MINDA LIMITED 2.88
Schaeffler India Ltd 1.35
Rolex Rings Ltd. 1.11
MINDA CORPORATION LIMITED 1.06
Automobiles 5.04
Maruti Suzuki India Limited 2.56
Mahindra & Mahindra Ltd. 2.48
Industrial Products 5.02
KEI INDUSTRIES LTD. 1.39
AIA Engineering Limited. 1.29
Ratnamani Metals & Tubes Ltd. 0.89
HAPPY FORGINGS LTD 0.79
Carborundum Universal Ltd. 0.66
Consumer Durables 4.32
Dixon Technologies India Ltd. 2.20
Titan Company Ltd. 2.12
Telecom - Services 4.09
BHARTI HEXACOM LTD. 4.09
Insurance 4.03
ICICI Lombard General Insurance Company Ltd 2.17
SBI Life Insurance Company Ltd 1.86
Electrical Equipment 3.98
GE VERNOVA T&D INDIA LIMITED 2.39
ABB India Ltd 1.59
Pharmaceuticals and Biotechnology 3.92
Sun Pharmaceuticals Industries Ltd. 2.21
MANKIND PHARMA LTD 1.71
Banks 3.70
ICICI Bank Ltd. 1.91
HDFC Bank Ltd. 1.79
Transport Services 3.69
Inter Globe Aviation Ltd 3.69
Chemicals and Petrochemicals 3.31
SOLAR INDUSTRIES INDIA LIMITED 2.05
JUBILANT INGREVIA LTD 1.26
Petroleum Products 3.25
RELIANCE INDUSTRIES LTD. 3.25
Personal Products 2.45
Godrej Consumer Products Ltd. 2.45
Financial Technology (Fintech) 1.58
PB FINTECH LTD. 1.58
Commercial Services and Supplies 1.20
CMS INFO SYSTEMS LTD 0.95
Tracxn Technologies Ltd. 0.25
Realty 1.01
Mahindra Lifespace Developers Ltd 1.01
IT - Services 0.91
CYIENT LTD. 0.91
Diversified 0.67
3M India Ltd. 0.67
Equity & Equity related - Total 81.49
Mutual Fund Units
Ishares Nasdaq 100 UCITS ETF USD Overseas Mutual Fund 16.20
Mutual Fund Units - Total 16.20
Triparty Repo 2.38
Net Current Assets/(Liabilities) -0.07
Grand Total 100.00

For viewing detailed portfolio of Ishares NASDAQ 100 UCITS ETF USD on desktop please visit: https://www.ishares.com/uk/individual/en/products/253741/isharesnasdaq- 100-ucits-etf


Systematic Investment Plan (SIP) If you had invested Rs 10,000 every month
Monthly SIP of (Rs) 10000 Since Inception 5 years 3 years 1 year
Total amount invested (₹) 6,90,000 6,00,000 3,60,000 1,20,000
Total Value as on June 30, 2025 (₹) 13,23,518 10,20,384 5,10,901 1,29,331
Scheme Returns (%) 22.66 21.40 24.16 14.88
85% Nifty 500 TRI + 15% MSCI ACWI Information Technology Index (TRI) 20.73 19.91 21.40 14.73
Alpha* 1.93 1.49 2.76 0.15
85% Nifty 500 TRI + 15% MSCI ACWI Information Technology Index (TRI) (₹)# 12,53,185 9,84,210 4,91,869 1,29,239
Nifty 50 (TRI) (₹)^ 11,24,312 8,96,353 4,56,638 1,27,838
Nifty 50 (TRI) Returns (%) 16.91 16.08 16.10 12.45

Scheme Inception : - October 31, 2019. The returns are calculated by XIRR approach assuming investment of ₹10,000/- on the 1st working day of every month. Since Inception returns are assumed to be starting from the inception date of the Scheme and calculated accordingly. XIRR helps in calculating return on investments given an initial and final value and a series of cash inflows and outflows and taking the time of investment into consideration. The SIP performance details provided herein are of Regular Plan - Growth Option Different plans have different expense structure. # Benchmark; ^ Additional Benchmark. TRI – Total Return Index, In terms of para 6.14 of SEBI Master circular No. SEBI/HO/IMD/IMD-PoD-1/P/CIR/2024/90 dated June 27, 2024, the performance of the scheme is benchmarked to the Total Return variant (TRI) of the Benchmark Index instead of Price Return Variant (PRI). Alpha is difference of scheme return with benchmark return. *All payouts during the period have been reinvested in the units of the scheme at the then prevailing NAV. Source: ICRA MFI Explorer.
Net Asset Value (NAV)
RegularDirect
Growth Rs31.4950Rs34.4530
IDCW Rs31.5090Rs34.4480
(as on June 30, 2025)

Available Plans/Options

A) Regular Plan B) Direct Plan
Options: Payout of IDCW, Reinvestment of IDCW & Growth (applicable for all plans)


Fund Manager* :Mr. Harish Bihani
Benchmark85% Nifty 500 TRI+ 15% MSCI ACWI Information Technology Index TRI
Allotment dateOctober 31, 2019
AAUMRs2,870.59 crs
AUMRs2,957.73 crs
Folio count77,503

IDCW Frequency

Trustee's Discretion


Ratios
Portfolio Turnover24.29%
$Beta0.93
$Sharpe ##1.42
$Standard Deviation13.47%
^^(P/E) 53.36
^^P/BV 6.97
Source: $ICRA MFI Explorer, ^^Bloomberg

Market Capitalisation*
Large Cap37.10%
Mid Cap26.63%
Small Cap17.79%
Debt & Money Market18.48%

*% of Net Asset

Minimum Investment Amount

Initial & Additional Investment
Rs100 and any amount thereafter
Systematic Investment Plan (SIP)
Rs 100 and any amount thereafter

Ideal Investments Horizon

• 5 years & above


Load Structure

Entry Load: Nil.(applicable for all plans)
Exit Load:
• For redemption / switch out within 90 days from the date of allotment: 0.5%
• If units are redeemed or switched out on or after 90 days from the date of allotment - Nil


Total Expense Ratio**
Regular Plan: 1.87%
Direct Plan: 0.49%

Data as on 30th June, 2025 unless otherwise specified.
Folio Count data as on 31st May 2025.

Fund


Benchmark : 85% Nifty 500 TRI+ 15% MSCI ACWI
Information Technology Index TRI

This product is suitable for investors who are seeking*:
  • Long term capital growth
  • Investment in equity and equity related securities of companies operating with pioneering innovations theme without any market capitalisation and sector bias.

* Investors should consult their financial advisors if in doubt about whether the product is suitable for them.

For latest Riskometer, investors may refer to an addendum issued or updated on website at www.kotakmf.com


## Risk rate assumed to be 5.52% (FBIL Overnight MIBOR rate as on 30th June 2025). **Total Expense Ratio includes applicable B30 fee and GST.
* For Fund Manager experience, please refer 'For Regular Plan' & 'For Direct Plan'
For scheme performance, please refer 'For Regular Plan' & 'For Direct Plan'