WHY KOTAK
Why Kotak

We strive to generate superior returns by identifying and avoiding inherent risks that exists in emerging markets like India.

Why Kotak

Large team of research analysts with presence on the ground forms the backbone of our business.

Why Kotak

Risk management lies at the core of investment behaviour helping us generate better risk-adjusted returns for our investors.

Why Kotak

We pride ourselves on partnering with and serving some of the largest investors from around the world.

Arcticles
ARTICLES

From Fiscal Deficit to Fiscal Prudence - How the Indian Government has Turned the Tables

India has faced high fiscal deficits, peaking at 9.2% during COVID-19, but improvement is underway.

From Fiscal Deficit to Fiscal Prudence - How the Indian Government has Turned the Tables

India has faced high fiscal deficits, peaking at 9.2% during COVID-19, but improvement is underway.

From Fiscal Deficit to Fiscal Prudence - How the Indian Government has Turned the Tables

India has faced high fiscal deficits, peaking at 9.2% during COVID-19, but improvement is underway.

SUSTAINABLE INVESTING

Our approach towards sustainable investments

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Fundamental analysis is the bedrock of our investment decisions.Our investment philosophy of Business, Management and Valuation (BMV) focuses on sustainability of business and corporate governance. We also believe that ESG issues can influence investment risk and return. Therefore, we incorporate ESG considerations within our fundamental analysis and seek to gain an understanding of the relevant ESG issues applicable to out investments.

KOTAK EDGE

“The global Indian financial services brand that delivers pragmatic solutions”
Our customers will enjoy the benefits of dealing with a global Indian brand that best understands their needs and delivers customized solutions. Our technology and best practices are bench-marked along international lines while our understanding of customers will be uniquely Indian.