Kotak Equity Arbitrage Fund - Monthly IDCW Option
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Sep-27-21 | 10.7247 | 0.035 | 
| Aug-23-21 | 10.7404 | 0.0337 | 
| Jul-26-21 | 10.7457 | 0.0356 | 
| Jun-21-21 | 10.7459 | 0.0461 | 
| May-24-21 | 10.714 | 0.0212 | 
| Apr-26-21 | 10.7564 | 0.067 | 
Kotak Equity Arbitrage Fund - Fortnightly IDCW Option
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Sep-06-21 | 23.0028 | 0.0077 | 
| Aug-23-21 | 23.0325 | 0.0374 | 
| Aug-9-21 | 23.0227 | 0.0276 | 
| Jul-26-21 | 23.0392 | 0.0441 | 
| Jul-12-21 | 23.0415 | 0.0464 | 
| Jun-28-21 | 23.0429 | 0.0478 | 
Kotak Equity Arbitrage Fund - Bimonthly IDCW
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Jul-26-21 | 20.1339 | 0.1659 | 
| May-24-21 | 20.1136 | 0.1649 | 
| Mar-22-21 | 20.0433 | 0.0851 | 
| Jan-25-21 | 20.0406 | 0.1071 | 
| Nov-23-20 | 20.0743 | 0.1481 | 
| Sep-21-20 | 20.0553 | 0.0964 | 
Kotak Bluechip Fund - IDCW
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Dec-23-20 | 38.489 | 1.523 | 
| Dec-23-19 | 37.059 | 2.5606 | 
| Dec-27-18 | 32.943 | 0.8677 | 
| Mar-23-18 | 35.3566 | 3.604 | 
| Dec-28-17 | 39.2181 | 1.52 | 
| Jun-28-17 | 39.0457 | 1.5 | 
Kotak India EQ Contra Fund
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Jul-20-20 | 18.519 | 1.086 | 
| Jul-25-19 | 20.628 | 1.8797 | 
| Mar-23-18 | 23.714 | 4.778 | 
| Jul-28-17 | 23.4326 | 0.7 | 
| Jul-15-16 | 19.6923 | 0.5 | 
| Nov-20-15 | 18.54 | 0.5 | 
Kotak Equity Opportunities Fund
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Feb-23-21 | 28.46 | 0.575 | 
| Nov-23-20 | 25.459 | 0.488 | 
| Aug-24-20 | 23.396 | 0.457 | 
| May-26-20 | 19.263 | 0.387 | 
| Feb-26-20 | 25.006 | 0.4533 | 
| Nov-26-19 | 24.65 | 0.4498 | 
Kotak Smallcap Fund
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Feb-24-21 | 52.435 | 2.586 | 
| Feb-27-20 | 38.797 | 2.8244 | 
| Feb-20-19 | 33.152 | 0.8942 | 
| Feb-28-18 | 45.3733 | 1.265 | 
| Feb-27-17 | 36.4033 | 1.45 | 
| Feb-23-16 | 26.77 | 1 | 
Kotak Tax Saver
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Dec-23-20 | 20.119 | 0.399 | 
| Sep-28-20 | 17.455 | 0.349 | 
| Jun-12-20 | 15.531 | 0.155 | 
| Mar-26-20 | 13.818 | 0.2878 | 
| Dec-24-19 | 19.111 | 0.3346 | 
| Sep-26-19 | 18.653 | 0.3108 | 
Kotak Emerging Equity Fund
| Record Date | Cum IDCW NAV | Rs/Unit | 
| May-20-20 | 17.646 | 0.536 | 
| May-24-19 | 23.623 | 1.6123 | 
| Mar-23-18 | 26.1532 | 2.674 | 
| May-26-17 | 26.01 | 1.59 | 
| May-27-16 | 21.1956 | 1.3 | 
| Apr-28-15 | 21.499 | 2.1 | 
Kotak Asset Allocator Fund
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Aug-30-10 | 37.774 | Individual/ HUF: 0.8784 Others: 0.8186 | 
Kotak Flexicap Fund (Erstwhile Known As Kotak Standard Multicap Fund)
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Sep-24-20 | 20.984 | 0.883 | 
| Sep-24-19 | 24.035 | 1.2024 | 
| Sep-24-18 | 23.504 | 1.3281 | 
| Sep-27-17 | 23.5921 | 1.5 | 
| Sep-30-16 | 21.3488 | 1.25 | 
| Oct-12-15 | 19.739 | 1.00 | 
Kotak Equity Saving Fund - Monthly IDCW Option
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Dec-14-20 | 12.0606 | 0.0404 | 
| Nov-12-20 | 11.8299 | 0.0381 | 
| Oct-12-20 | 11.6235 | 0.0395 | 
| Sep-14-20 | 11.4749 | 0.0405 | 
| Aug-12-20 | 11.4015 | 0.0423 | 
| Jul-13-20 | 11.2263 | 0.043 | 
Kotak Equity Saving Fund - Quarterly IDCW
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Sep-21-20 | 11.3791 | 0.1253 | 
| Jun-22-20 | 11.1034 | 0.221 | 
| Dec-20-19 | 11.3744 | 0.0329 | 
| Sep-20-19 | 11.0934 | 0.1354 | 
| Jun-20-19 | 11.2538 | 0.1576 | 
| Mar-20-19 | 11.2372 | 0.1553 | 
Kotak Infrastructure and Economic Reform Fund
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Feb-21-19 | 16.252 | 0.4356 | 
| Feb-28-18 | 20.5821 | 0.625 | 
| Feb-23-17 | 17.5644 | 0.5 | 
| Jun-23-15 | 15.2601 | 0.5 | 
Kotak Equity Hybrid
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Dec-23-20 | 17.878 | 0.089 | 
| Sep-25-20 | 15.192 | 0.077 | 
| Jun-12-20 | 13.671 | 0.068 | 
| Dec-26-19 | 15.994 | 0.139 | 
| Sep-25-19 | 15.339 | 0.1301 | 
| Jun-25-19 | 15.572 | 0.1398 | 
Kotak Debt Hybrid - Monthly IDCW
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Sep-13-21 | 13.1771 | Individual/ HUF: 0.1129 Others: 0.1129 | 
| Aug-12-21 | 12.9925 | Individual/ HUF: 0.1086 Others: 0.1086 | 
| Jul-12-21 | 12.8797 | Individual/ HUF: 0.099 Others: 0.099 | 
Kotak Debt Hybrid - Quarterly IDCW
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Jun-21-21 | 15.0172 | Individual/ HUF: 0.2942 Others: 0.2942 | 
| Mar-22-21 | 14.6143 | Individual/ HUF: 0.2468 Others: 0.2468 | 
| Dec-22-20 | 14.3163 | Individual/ HUF: 0.1881 Others: 0.1881 | 
Kotak PSU Bank ETF
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Mar-10-17 | 334.3964 | 0.2 | 
| Feb-21-13 | 358.8668 | 19.00 | 
Kotak SENSEX ETF
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Mar-11-17 | 297.6072 | 7.50 | 
| Mar-10-17 | 297.6072 | 7.50 | 
| Jun-18-13 | 201.3164 | 7.00 | 
Kotak Nifty ETF
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Mar-10-17 | 904.9522 | 10.00 | 
| May-06-16 | 785.7880 | 11.00 | 
| May-06-13 | 613.1266 | 11.00 | 
Kotak Bond Fund Regular Plan - Quarterly IDCW Option
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Dec-22-20 | 13.01 | Individual/ HUF: 0.0557 Others: 0.0557 | 
| Sep-21-20 | 12.6259 | Individual/ HUF: 0.041 Others: 0.041 | 
| Dec-20-19 | 12.139 | Individual/ HUF: 0.3879 Others: 0.3592 | 
Kotak Bond Fund Regular Plan -Annual IDCW
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Mar-20-14 | 21.2977 | Individual/ HUF: 0.2158 Others: 0.2067 | 
| Mar-20-13 | 22.5941 | Individual/ HUF: 1.4008 Others: 1.2006 | 
Kotak Bond Short Term Fund - Monthly IDCW
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Sep-13-21 | 10.1208 | Individual/ HUF: 0.0767 Others: 0.0767 | 
| Aug-12-21 | 10.1062 | Individual/ HUF: 0.0621 Others: 0.0621 | 
| Jun-14-21 | 10.1114 | Individual/ HUF: 0.0599 Others: 0.0599 | 
Kotak Bond Short Term Fund - Half Yearly IDCW
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Mar-22-21 | 14.8013 | Individual/ HUF: 0.2087 Others: 0.2087 | 
| Sep-21-20 | 14.5527 | Individual/ HUF: 0.0102 Others: 0.0102 | 
| Mar-20-19 | 12.6446 | Individual/ HUF: 0.0039 Others: 0.0036 | 
Kotak Credit Risk Fund - Monthly IDCW
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Mar-12-21 | 10.5102 | Individual/ HUF: 0.0217 Others: 0.0217 | 
| Oct-12-20 | 10.4296 | Individual/ HUF: 0.0664 Others: 0.0664 | 
| Sep-14-20 | 10.4173 | Individual/ HUF: 0.0842 Others: 0.0842 | 
Kotak Credit Risk Fund - Quarterly IDCW
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Jun-21-21 | 11.4909 | Individual/ HUF: 0.1018 Others: 0.1018 | 
| Sep-21-20 | 11.1727 | Individual/ HUF: 0.2223 Others: 0.2223 | 
| Jun-22-20 | 10.9416 | Individual/ HUF: 0.1109 Others: 0.1109 | 
Kotak Credit Risk Fund - Annual IDCW
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Mar-12-21 | 10.7312 | Individual/ HUF: 0.6454 Others: 0.6454 | 
| Mar-12-20 | 11.0635 | Individual/ HUF: 0.7027 Others: 0.6507 | 
| Mar-12-19 | 10.8959 | Individual/ HUF: 0.4539 Others: 0.4203 | 
Kotak Savings Fund - Monthly IDCW
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Sep-13-21 | 10.7437 | Individual/ HUF: 0.0311 Others: 0.0311 | 
| Aug-12-21 | 10.7474 | Individual/ HUF: 0.0348 Others: 0.0348 | 
| Jul-12-21 | 10.7386 | Individual/ HUF: 0.026 Others: 0.026 | 
Kotak Dynamic Bond Fund - Monthly IDCW
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Sep-13-21 | 22.0315 | Individual/ HUF: 0.2809 Others: 0.2809 | 
| Aug-12-21 | 21.8108 | Individual/ HUF: 0.0602 Others: 0.0602 | 
| Jun-14-21 | 21.9491 | Individual/ HUF: 0.1787 Others: 0.1787 | 
Kotak Dynamic Bond Fund - Quarterly IDCW
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Jun-21-21 | 11.2294 | Individual/ HUF: 0.1356 Others: 0.1356 | 
| Dec-22-20 | 11.4483 | Individual/ HUF: 0.3302 Others: 0.3302 | 
| Sep-21-20 | 11.3106 | Individual/ HUF: 0.1959 Others: 0.1959 | 
Kotak Corporate Bond Fund-Regular Plan Monthly IDCW
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Sep-13-21 | 1052.9329 | Individual/ HUF: 7.4231 Others: 7.4231 | 
| Aug-12-21 | 1051.8694 | Individual/ HUF: 6.3596 Others: 6.3596 | 
| Jul-12-21 | 1046.408 | Individual/ HUF: 1.6051 Others: 1.6051 | 
Kotak Corporate Bond Fund - Regular Quarterly IDCW
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Jun-20-17 | 1070.4266 | Individual/ HUF: 15.966 Others: 14.7922 | 
| Mar-20-17 | 1062.9423 | Individual/ HUF: 11.1398 Others: 10.3208 | 
| Dec-20-16 | 1070.3117 | Individual/ HUF: 17.6919 Others: 16.3912 | 
Kotak Gilt Fund Regular Plan - Quarterly IDCW
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Dec-22-20 | 15.0693 | Individual/ HUF: 0.1522 Others: 0.1522 | 
| Sep-21-20 | 14.6362 | Individual/ HUF: 0.0417 Others: 0.0417 | 
| Jun-22-20 | 15.4225 | Individual/ HUF: 0.8284 Others: 0.8284 | 
Kotak Gilt Fund PF and Trust Plan - Quarterly IDCW
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Jun-21-21 | 11.9893 | Individual/ HUF: 0.0899 Others: 0.0899 | 
| Dec-22-20 | 12.3259 | Individual/ HUF: 0.3767 Others: 0.3767 | 
| Sep-21-20 | 11.9716 | Individual/ HUF: 0.0341 Others: 0.0341 | 
Kotak Money Market Fund - Monthly IDCW
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Jun-14-21 | 1042.392 | Individual/ HUF: 1.7332 Others: 1.7332 | 
| Mar-12-21 | 1034.952 | Individual/ HUF: 2.9764 Others: 2.9764 | 
| Feb-12-21 | 1034.4517 | Individual/ HUF: 2.4758 Others: 2.4758 | 
Kotak Banking and PSU Debt Fund - Monthly IDCW
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Sep-13-21 | 10.505 | Individual/ HUF: 0.0950 Others: 0.0950 | 
| Aug-12-21 | 10.4567 | Individual/ HUF: 0.0467 Others: 0.0467 | 
| Jun-14-21 | 10.4939 | Individual/ HUF: 0.0833 Others: 0.0833 | 
Kotak Banking and PSU Debt Fund-Annual IDCW
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Mar-15-17 | 16.8762 | Individual/ HUF: 1.0169 Others: 0.9421 | 
| Mar-14-16 | 16.6687 | Individual/ HUF: 0.0.884 Others: 0.819 | 
| Mar-20-15 | 16.7914 | Individual/ HUF: 0.9986 Others: 0.9261 | 
Kotak Low Duration Fund - Regular Plan Monthly IDCW
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Sep-13-21 | 1028.3051 | Individual/ HUF: 5.0225 Others: 5.0225 | 
| Aug-12-21 | 1027.8012 | Individual/ HUF: 4.5186 Others: 4.5186 | 
| Jul-12-21 | 1024.987 | Individual/ HUF: 1.7043 Others: 1.7043 | 
Kotak Medium Term Fund - Quarterly IDCW
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Jun-21-21 | 10.7898 | Individual/ HUF: 0.243 Others: 0.243 | 
| Dec-22-20 | 10.9108 | Individual/ HUF: 0.3469 Others: 0.3469 | 
| Sep-21-20 | 10.8378 | Individual/ HUF: 0.2771 Others: 0.2771 | 
Kotak Medium Term Fund-Annual IDCW
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Mar-12-21 | 10.9688 | Individual/ HUF: 0.4043 Others: 0.4043 | 
| Mar-12-20 | 11.2021 | Individual/ HUF: 0.635 Others: 0.588 | 
| Mar-12-19 | 11.1171 | Individual/ HUF: 0.4473 Others: 0.4142 | 
Kotak Floating Rate Fund
| Record Date | Cum IDCW NAV | Rs/Unit | 
| Sep-13-21 | 1073.4860 | Individual/ HUF: 9.3500 Others: 9.3500 | 
| Aug-12-21 | 1074.3688 | Individual/ HUF: 10.2328 Others: 10.2328 | 
| Jul-12-21 | 1066.187 | Individual/ HUF: 2.0511 Others: 2.0511 |