Kotak Mutual Fund has announced 21 September 2015 as the record date for declaration of dividend under the dividend option of following schemes.
The amount of dividend on the face value of Rs 10 per unit will be:
Kotak Equity Arbitrage Fund – Regular Plan-Bimonthly: 0.2154
Kotak Equity Arbitrage Fund – Direct Plan-Bimonthly: 0.2328
Kotak Bond Unit Scheme 99 – Plan A-Regular Plan-Quarterly: Rs 0.1971
Kotak Bond Unit Scheme 99 – Plan A – Direct Plan-Quarterly: Rs 0.2275
Kotak Flexi Debt Scheme – Regular Plan-Quarterly: Rs 0.2366
Kotak Flexi Debt Scheme – Plan A-Quarterly: Rs 0.2541
Kotak Flexi Debt – Plan A – Direct Plan-Quarterly: 0.2631
Kotak Monthly Income Plan-Regular Plan-Quarterly: Rs 0.1702
Kotak Monthly Income Plan – Direct Plan-Quarterly: Rs 0.1997
Kotak Income Opportunities Fund – Regular Plan-Quarterly: Rs 0.1874
Kotak Multi Asset Allocation Fund – Regular Plan-Quarterly: Rs 0.163
Kotak Multi Asset Allocation Fund – Direct Plan-Quarterly: Rs 0.1779
Kotak Medium Term Fund – Regular Plan-Quarterly: Rs 0.1771
Kotak Medium Term Fund – Direct Plan-Quarterly: Rs 0.2134
Kotak-Gilt Investment - Regular Plan – Non-Direct Plan-Quarterly: Rs 0.2359
Kotak-Gilt Investment Regular Plan – Direct Plan-Quarterly: Rs 0.2963
Kotak-Gilt Investment Provident Fund & Trust Plan-Quarterly: Rs 0.2303
Kotak Corporate Bond Fund – Regular Plan-Quarterly: 11.9106
Kotak Equity Savings Fund – Regular Plan-Quarterly: Rs 0.1443
Kotak Equity Savings Fund – Direct Plan-Quarterly: Rs 0.1592
Kotak Bond Short Term Plan – Regular Plan-Half-Yearly: 0.6191
Kotak Bond Short Term Plan – Direct Plan-Half-Yearly: 0.629