Kotak Mahindra Bank Ltd. 500247 shares rose 1.08% to 1,936.15 Indian rupees Friday, on what proved to be an all-around rough trading session for the stock market, with the BSE SENSEX Index 1 ...
Note : Support and Resistance level for the month, calculated based on price range of the previous trading month.
Shares of Kotak Mahindra Bank Ltd. 500247 rose 2.40% to 1,930.45 Indian rupees Tuesday, on what proved to be an all-around positive trading session for the stock market, with the BSE SENSEX Index ...
Kotak Bank Q3 Results: India’s third largest private bank by market capitalisation Kotak Mahindra Bank on Saturday reported a 10% jump in its December quarter net profit at Rs 3,305 crore versus Rs ...
There is no assurance that the investment objective of the scheme will be achieved. The Kotak Emerging Equity Scheme Growth has an AUM of 53078.98 crores & has delivered CAGR of 23.22% in the last ...
However, there is no assurance that the objective of the scheme will be realized. The Kotak Equity Hybrid Direct Growth has an AUM of 6913.47 crores & has delivered CAGR of 17.91% in the last 5 years.
Kotak Mahindra Bank shares: The Net Interest Income (NII) for Q3FY25 rose to Rs 7,196 crore, up 10% year-on-year from Rs 6,554 crore in Q3FY24. The Net Interest Margin (NIM) for Q3FY25 stood at 4.93%.
Net interest income grew by 10 per cent Y-o-Y to Rs 7,196 crore, while fees and services for Q3FY25 also grew 10 per cent to 2,362 crore ...
14. Shares of Kotak Mahindra Bank have risen over 1% in the past week while it has slipped nearly 3% in the past year. At 11:15 a.m. on Thursday, the stock was trading at Rs 1,800 apiece on the NSE.
Former Saurashtra batter Sitanshu Kotak is set to join the Indian team as their batting coach ahead of the upcoming white-ball series against England, starting in Kolkata on January 22.
Kotak Mahindra Bank shares surge 9% on strong ... the shares have recorded a return of 9.39%. Over the past five trading sessions, the Nifty 50 benchmark index has registered a 0.58% gai.
Fund manager updated portfolio more frequently than peers in last 1 year. (I.e. fund manager held stocks/bonds in the portfolio for shorter duration than peers) ...
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