<?xml version="1.0"?>
<rss version="2.0"><channel><title>Latest Nav Of Kotak Mutual Funds India At MutualFundsNavIndia.com</title><link>http://www.mutualfundsnavindia.com</link><description>Get latest navs for indian Kotak mutual funds. Create free mutual fund portfolio and manage your funds performance daily using web based manager.</description><language>en-us</language><copyright>copyright 2006 mutualfundsnavindia.com</copyright><docs>http://www.mutualfundsnavindia.com</docs><item><schemeId>251</schemeId><link>http://www.mutualfundsnavindia.com/funds/286.html</link><code>286</code><title>Kotak Balance</title><nav>21.78</nav><nav07>1.54</nav07><nav91>4.66</nav91><nav182>3.37</nav182><nav365>2.40</nav365><date>10-Feb-2012&#xD;</date></item><item><schemeId>105</schemeId><link>http://www.mutualfundsnavindia.com/funds/2573.html</link><code>2573</code><title>Kotak Equity-FOF-Dividend</title><nav>33.43</nav><nav07>1.58</nav07><nav91>3.72</nav91><nav182>1.52</nav182><nav365>0.39</nav365><date>10-Feb-2012&#xD;</date></item><item><schemeId>105</schemeId><link>http://www.mutualfundsnavindia.com/funds/2574.html</link><code>2574</code><title>Kotak Equity-FOF-Growth</title><nav>34.34</nav><nav07>1.57</nav07><nav91>3.71</nav91><nav182>1.51</nav182><nav365>0.38</nav365><date>10-Feb-2012&#xD;</date></item><item><schemeId>0</schemeId><link>http://www.mutualfundsnavindia.com/funds/10575.html</link><code>10575</code><title>Kotak Floater Long-Term-Daily Dividend</title><nav>10.08</nav><nav07>0.00</nav07><nav91>0.00</nav91><nav182>0.00</nav182><nav365>0.00</nav365><date>10-Feb-2012&#xD;</date></item><item><schemeId>545</schemeId><link>http://www.mutualfundsnavindia.com/funds/2591.html</link><code>2591</code><title>Kotak Floater Long-Term-Growth</title><nav>16.85</nav><nav07>0.18</nav07><nav91>2.31</nav91><nav182>4.59</nav182><nav365>9.42</nav365><date>10-Feb-2012&#xD;</date></item><item><schemeId>545</schemeId><link>http://www.mutualfundsnavindia.com/funds/2592.html</link><code>2592</code><title>Kotak Floater Long-Term-Monthly Dividend</title><nav>10.13</nav><nav07>0.20</nav07><nav91>0.10</nav91><nav182>0.00</nav182><nav365>0.20</nav365><date>10-Feb-2012&#xD;</date></item><item><schemeId>545</schemeId><link>http://www.mutualfundsnavindia.com/funds/2590.html</link><code>2590</code><title>Kotak Floater Long-Term-Weekly Dividend</title><nav>10.08</nav><nav07>-0.10</nav07><nav91>0.00</nav91><nav182>0.00</nav182><nav365>0.00</nav365><date>10-Feb-2012&#xD;</date></item><item><schemeId>664</schemeId><link>http://www.mutualfundsnavindia.com/funds/280.html</link><code>280</code><title>Kotak Gilt-Investment  Provident Fund and Trust-Dividend</title><nav>11.38</nav><nav07>0.18</nav07><nav91>6.06</nav91><nav182>3.45</nav182><nav365>4.60</nav365><date>10-Feb-2012&#xD;</date></item><item><schemeId>664</schemeId><link>http://www.mutualfundsnavindia.com/funds/281.html</link><code>281</code><title>Kotak Gilt-Investment  Provident Fund and Trust-Growth</title><nav>36.71</nav><nav07>0.14</nav07><nav91>9.06</nav91><nav182>7.31</nav182><nav365>10.97</nav365><date>10-Feb-2012&#xD;</date></item><item><schemeId>665</schemeId><link>http://www.mutualfundsnavindia.com/funds/264.html</link><code>264</code><title>Kotak Gilt-Investment Regular-Dividend</title><nav>13.22</nav><nav07>0.15</nav07><nav91>6.01</nav91><nav182>3.44</nav182><nav365>4.51</nav365><date>10-Feb-2012&#xD;</date></item><item><schemeId>665</schemeId><link>http://www.mutualfundsnavindia.com/funds/265.html</link><code>265</code><title>Kotak Gilt-Investment Regular-Growth</title><nav>35.95</nav><nav07>0.14</nav07><nav91>9.04</nav91><nav182>7.28</nav182><nav365>10.96</nav365><date>10-Feb-2012&#xD;</date></item><item><schemeId>590</schemeId><link>http://www.mutualfundsnavindia.com/funds/263.html</link><code>263</code><title>Kotak Gilt-Savings-Annual Dividend</title><nav>15.93</nav><nav07>-0.06</nav07><nav91>3.85</nav91><nav182>4.66</nav182><nav365>8.66</nav365><date>10-Feb-2012&#xD;</date></item><item><schemeId>590</schemeId><link>http://www.mutualfundsnavindia.com/funds/262.html</link><code>262</code><title>Kotak Gilt-Savings-Growth</title><nav>23.83</nav><nav07>-0.04</nav07><nav91>3.88</nav91><nav182>4.66</nav182><nav365>8.71</nav365><date>10-Feb-2012&#xD;</date></item><item><schemeId>590</schemeId><link>http://www.mutualfundsnavindia.com/funds/261.html</link><code>261</code><title>Kotak Gilt-Savings-Monthly Dividend</title><nav>10.54</nav><nav07>0.00</nav07><nav91>0.67</nav91><nav182>-0.09</nav182><nav365>0.76</nav365><date>10-Feb-2012&#xD;</date></item><item><schemeId>0</schemeId><link>http://www.mutualfundsnavindia.com/funds/14757.html</link><code>14757</code><title>Kotak Gold Fund Dividend</title><nav>13.22</nav><nav07>-0.68</nav07><nav91>-2.22</nav91><nav182>5.68</nav182><nav365>0.00</nav365><date>10-Feb-2012&#xD;</date></item><item><schemeId>0</schemeId><link>http://www.mutualfundsnavindia.com/funds/14758.html</link><code>14758</code><title>Kotak Gold Fund Growth</title><nav>13.21</nav><nav07>-0.75</nav07><nav91>-2.29</nav91><nav182>5.60</nav182><nav365>0.00</nav365><date>10-Feb-2012&#xD;</date></item><item><schemeId>224</schemeId><link>http://www.mutualfundsnavindia.com/funds/3338.html</link><code>3338</code><title>Kotak Tax Saver-Scheme-Dividend</title><nav>10.61</nav><nav07>1.92</nav07><nav91>4.22</nav91><nav182>2.31</nav182><nav365>2.71</nav365><date>10-Feb-2012&#xD;</date></item><item><schemeId>224</schemeId><link>http://www.mutualfundsnavindia.com/funds/3339.html</link><code>3339</code><title>Kotak Tax Saver-Scheme-Growth</title><nav>17.32</nav><nav07>1.94</nav07><nav91>4.15</nav91><nav182>2.30</nav182><nav365>2.67</nav365><date>10-Feb-2012&#xD;</date></item></channel></rss>

