Kotak Large Cap Fund

Kotak Mahindra Mutual FundEquityPortfolio as of 31 July 2026

Kotak Large Cap Fund holds 68 instruments (96.42% equity), led by ICICI Bank Limited (8.05%), HDFC Bank Limited (6.19%) and Reliance Industries Limited (6.04%), as of its 31 July 2026 SEBI-mandated monthly disclosure.

Holdings
68
Equity Allocation
96.42%
AMC
Kotak Mahindra Mutual Fund
Category
Equity

This page shows the complete disclosed portfolio of Kotak Large Cap Fund, managed by Kotak Mahindra Mutual Fund, based on its monthly portfolio disclosure dated 31 July 2026. The fund holds 68 instruments with an equity allocation of 96.42%. Percentages are of net assets (% to NAV). Click any stock to see every other mutual fund that also holds it.

Portfolio Analysis

Kotak Large Cap Fund's top 10 holdings account for 44.89% of its portfolio, more concentrated than the Equity category average of 37.5%. Financial Services is its largest sector exposure at 30.57% of net assets, spread across 12 sectors in total. Since its 30 June 2026 disclosure, the fund added 4 new positions and exited 3 positions, with Titan Company Limited seeing the largest move (+0.75pp to 0.89%).

Top 10 Equity Holdings

What Changed: June 2026 → July 2026

Equity holdings compared between the fund's two latest monthly disclosures. Weights are % to NAV; weight moves can also reflect price changes, not only buying or selling.

4 new entries3 exits9 increased9 reduced

Biggest Weight Increases

StockWeightChange
Titan Company Limited0.14% → 0.89%▲ +0.75
Bajaj Finance Limited3.22% → 3.57%▲ +0.35
ICICI Bank Limited7.74% → 8.05%▲ +0.31
Infosys Limited2.63% → 2.91%▲ +0.28
Tech Mahindra Limited1.11% → 1.34%▲ +0.23
Bharti Airtel Limited3.92% → 4.12%▲ +0.2
ETERNAL LIMITED1.51% → 1.66%▲ +0.15
Sun Pharmaceutical Industries Limited1.92% → 2.07%▲ +0.15
Persistent Systems Limited0.54% → 0.67%▲ +0.13

Biggest Weight Reductions

StockWeightChange
Larsen & Toubro Limited4.54% → 3.96%▼ -0.58
HDFC Bank Limited6.65% → 6.19%▼ -0.46
Axis Bank Limited3.23% → 2.88%▼ -0.35
InterGlobe Aviation Limited1.9% → 1.61%▼ -0.29
NTPC Limited2.86% → 2.72%▼ -0.14
Samvardhana Motherson International Limited1.02% → 0.88%▼ -0.14
Swiggy Limited0.31% → 0.19%▼ -0.12
State Bank of India4.55% → 4.45%▼ -0.1
Cummins India Limited1.17% → 1.07%▼ -0.1

Top Holdings — Weight Trend

% to NAV of the fund's current top holdings over its last 6 monthly disclosures (Feb – Jul 2026).

Feb: 7.36%, Mar: 7.18%, Apr: 6.95%, May: 6.98%, Jun: 7.74%, Jul: 8.05%
8.05%
Feb: 7.01%, Mar: 6.45%, Apr: 6.28%, May: 6.25%, Jun: 6.65%, Jul: 6.19%
6.19%
Feb: 6.39%, Mar: 6.99%, Apr: 6.88%, May: 6.4%, Jun: 6.12%, Jul: 6.04%
6.04%
Feb: 4.83%, Mar: 4.4%, Apr: 4.51%, May: 4.2%, Jun: 4.55%, Jul: 4.45%
4.45%
Feb: 3.78%, Mar: 4%, Apr: 4.06%, May: 3.97%, Jun: 3.92%, Jul: 4.12%
4.12%

Full Portfolio (68 holdings)

#HoldingSector% to NAV
1ICICI Bank LimitedFinancial Services8.05%
2HDFC Bank LimitedFinancial Services6.19%
3Reliance Industries LimitedEnergy6.04%
4State Bank of IndiaFinancial Services4.45%
5Bharti Airtel LimitedTelecommunication4.12%
6Larsen & Toubro LimitedIndustrials3.96%
7Bajaj Finance LimitedFinancial Services3.57%
8Infosys LimitedInformation Technology2.91%
9Axis Bank LimitedFinancial Services2.88%
10NTPC LimitedUtilities2.72%
11Triparty Repotreps2.47%
12Mahindra & Mahindra LimitedConsumer Discretionary2.45%
13Maruti Suzuki India LimitedConsumer Discretionary2.43%
14Sun Pharmaceutical Industries LimitedHealthcare2.07%
15UltraTech Cement LimitedMaterials2.06%
16Solar Industries India LimitedMaterials2.04%
17Tata Steel LimitedMaterials2.01%
18Shriram Finance LimitedFinancial Services1.82%
19ETERNAL LIMITEDConsumer Discretionary1.66%
20Torrent Pharmaceuticals LimitedHealthcare1.63%
21InterGlobe Aviation LimitedServices1.61%
22Kotak Mahindra Bank LimitedFinancial Services1.44%
23ITC LimitedConsumer Staples1.42%
24Apollo Hospitals Enterprise LimitedHealthcare1.41%
25Bharat Electronics LimitedIndustrials1.38%
26Hindalco Industries LimitedMaterials1.36%
27Tech Mahindra LimitedInformation Technology1.34%
28Bharat Petroleum Corporation LimitedEnergy1.23%
29United Spirits LimitedConsumer Staples1.22%
30Coromandel International LimitedMaterials1.18%
31Kotak Liquid Fund - Direct Plan - Growthmf1.17%
32CNX BANK INDEXother1.12%
33Hindustan Unilever LimitedConsumer Staples1.11%
34Cummins India LimitedIndustrials1.07%
35Godrej Consumer Products LimitedConsumer Staples1.06%
36Bharat Forge LimitedConsumer Discretionary0.99%
37Adani Enterprises LimitedMaterials0.94%
38Power Finance Corporation LimitedFinancial Services0.9%
39Titan Company LimitedConsumer Discretionary0.89%
40Apollo Tyres LimitedConsumer Discretionary0.88%
41Samvardhana Motherson International LimitedConsumer Discretionary0.88%
42Bosch LimitedConsumer Discretionary0.79%
43Britannia Industries LimitedConsumer Staples0.71%
44Persistent Systems LimitedInformation Technology0.67%
45Poonawalla Fincorp LimitedFinancial Services0.65%
46Astra Microwave Products LimitedIndustrials0.65%
47MphasiS LimitedInformation Technology0.62%
48HDFC Life Insurance Company LimitedFinancial Services0.62%
49Schaeffler India LimitedConsumer Discretionary0.61%
50V-Guard Industries LimitedConsumer Discretionary0.58%
51CNX NIFTYother0.57%
52LG Electronics India LimitedConsumer Discretionary0.55%
53Anthem Biosciences LimitedHealthcare0.55%
54Acme Solar Holdings LimitedUtilities0.52%
55Oberoi Realty LimitedReal Estate0.52%
56MANIPAL HEALTH ENTERPRISES LHealthcare0.5%
57Vishal Mega Mart LimitedConsumer Discretionary0.41%
58Voltas LimitedConsumer Discretionary0.39%
59The India Cements LimitedMaterials0.36%
60Mahindra Lifespace Developers LimitedReal Estate0.32%
61PG Electroplast LimitedConsumer Discretionary0.31%
62Lenskart Solutions LimitedConsumer Discretionary0.27%
63Hyundai Motor India LimitedConsumer Discretionary0.2%
64Swiggy LimitedConsumer Discretionary0.19%
65GSPL Transmission LimitedUtilities0.06%
66Margin Depositother0.02%
67Cash Marginother0.02%
68Net Current Assets/(Liabilities)other-0.08%

Frequently Asked Questions

Yes. As of its 31 July 2026 disclosure, ICICI Bank Limited is 8.05% of Kotak Large Cap Fund's net assets — its number 1 holding.
Yes. As of its 31 July 2026 disclosure, HDFC Bank Limited is 6.19% of Kotak Large Cap Fund's net assets — its number 2 holding.
Yes. As of its 31 July 2026 disclosure, Reliance Industries Limited is 6.04% of Kotak Large Cap Fund's net assets — its number 3 holding.
Yes. As of its 31 July 2026 disclosure, State Bank of India is 4.45% of Kotak Large Cap Fund's net assets — its number 4 holding.
Yes. As of its 31 July 2026 disclosure, Bharti Airtel Limited is 4.12% of Kotak Large Cap Fund's net assets — its number 5 holding.

New to reading these? See How to Read a Mutual Fund's Monthly Portfolio Disclosure, or check terms like % to NAV in the glossary.

Source: Kotak Mahindra Mutual Fund's SEBI-mandated monthly portfolio disclosure, dated 31 July 2026. Data is for information only, not investment advice. Holdings may have changed since the disclosure date.