Kotak Mah. Bank

  • Market Cap: Large Cap
  • Industry: Private Sector Bank
  • ISIN: INE237A01036
  • NSEID: KOTAKBANK
  • BSEID: 500247
INR
416.00
7.8 (1.91%)
BSENSE

Feb 03

BSE+NSE Vol: 3.64 cr

  • Price Points
  • Score
  • Mojo Parameters
  • Total Return
  • News and Corporate Actions
  • Key factors
  • Shareholding
  • Financials
  • CompanyCV
stock-summaryKotak Mah. Bank VS Private Sector Bank
 
1D
1.91%
2.54%
1W
1.72%
2.3%
1M
-5.24%
-2.36%
YTD
-5.49%
-1.74%
1Y
10.34%
8.49%
3Y
16.82%
37.63%
5Y
12.32%
66.63%
10Y
212.12%
245.7%
  • Stock Absolute Returns
  • Absolute Returns
stock-summaryPrice + Dividend
Total Returns (Price + Dividend) stock-summary
Dividend Yield (0.12%)
TimePeriod
Price Return
Dividend Return
Total Return
3 Months
-1.57%
0%
-1.57%
6 Months
4.41%
0%
4.41%
1 Year
10.34%
0.13%
10.47%
2 Years
14.04%
0.26%
14.3%
3 Years
16.82%
0.35%
17.17%
4 Years
8.94%
0.38%
9.32%
5 Years
12.32%
0.43%
12.75%

Latest dividend: 2.5 per share ex-dividend date: Jul-18-2025

stock-summaryReturn Quartiles
What is a Quartile?

Quartile analysis gives a quick view of the performance of the stock with its peers and with the overall market. Companies are bucketed in 4 Quartiles as per their total returns generated; with each quartile consisting of 25% of the companies in the category.


Example: If there are 20 companies in an industry, the top 5 return giving companies would be bucketed in 1st quartile, next 5 companies in 2nd quartile and so on

Return Quartiles - by Closest Peers stock-summary
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Not enough Stock Price history for Quartile Analysis
Return Quartiles - by Industry stock-summary
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Not enough Stock Price history for Quartile Analysis
Return Quartiles - by Market Cap stock-summary
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Not enough Stock Price history for Quartile Analysis
stock-summaryRisk Adjusted Returns v/s
Risk Adjusted Returns v/s stock-summary
stock-summaryReturns Beta
Returns Beta
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Beta has not been calculated since enough price history is not available