Vihag Mishra
Debt - Fund Manager at Kotak Mahindra
Vihag Mishra is named on 4 schemes at Kotak Mahindra. Of the 4 ranked with a three-year record, 3-year CAGR runs from 8.9% (Kotak Medium Term Fund - Direct Plan - Growth) down to 7.2% (Kotak Medium Term Fund - Regular Plan - Standard Income Distribution cum capital withdrawal optio), across Medium Duration Fund, Credit Risk Fund. Returns are computed from AMFI NAV history and are net of expenses; the roles and dates come from Kotak Mahindra's SEBI filings.
Background
- Qualifications
- Rank Holder MBA in Finance from XLRI
- Experience
- Mr. Vihag Mishra has total work experience of 14 years in credit research and data analytics. He has been associated with Kotak Mahindra Asset Management Company Limited for the last 8 years where he is responsible for managing credit investment portfolio across funds. Prior to joining Kotak AMC, he was working as a senior credit analyst at French Bank, BNP Paribas where he structured credit deals for key clients of the bank.
Funds Vihag Mishra manages
4Ranked by 3Y CAGR. Schemes without a three-year record yet are not listed. Open a fund for NAV history, rolling returns, risk metrics and peer rank.
| 1 | Kotak Medium Term Fund | ★★★☆☆ | +6.1% | +8.9% | +7.3% | 0.67% | ₹1,821Cr |
| 2 | Kotak Credit Risk Fund | ★★☆☆☆ | +6.5% | +8.5% | +6.7% | 0.81% | ₹739.85Cr |
| 3 | Kotak Credit Risk Fund | — | +5.5% | +7.5% | +5.7% | — | — |
| 4 | Kotak Medium Term Fund | — | +3.4% | +7.2% | +5.9% | — | — |
NAV data as of 05 Oct 2026. Role, qualifications and tenure are disclosures from Kotak Mahindra’s Scheme Information Documents and Statement of Additional Information — SEBI filings, not our assessment of anyone. Returns are computed from AMFI NAV history; see our methodology. A fund’s performance is not attributable to one person, and nothing here is investment advice.