Kotak Nifty 50 Index Fund - Regular Plan - Growth

NAV 15.40(1.76%)
Apr 17, 2025
Kotak Nifty 50 Index Fund - Regular Plan - Growth
AUM
₹808 Cr
Expense (%)
0.35
Turnover (%)
19.77
Benchmark
BSE SENSEX - TRI
Asset Quality
Large, Green
Differs from benchmark (%)
5.95

Decision Maker

1. Right Fund

Performance
Quality

2. Right Time

Benchmark
Debt Fund
8%
Likely Future 5 Year CAGR.

3. Right Allocation

Will this Fund help diversify your portfolio?

3Yr Rolling Returns(%)

Benchmark# : NIFTY 50

Performance Summary - 10 Year X-Ray

Dec' 15Dec' 16Dec' 17Dec' 18Dec' 19Dec' 20Dec' 21Dec' 22Dec' 23Dec' 24YTD
NAV(₹)
------11.0211.5913.9715.2715.40
AUM(Cr.)
------124.26251.75517.48799.04808.02
Benchmark# BM# Returns(%)
------10.384.3320.038.800.88
Fund Returns(%)
------10.425.1720.539.310.85
Implied  Investor Returns(%) IR(%)
------60.705.2945.2015.8514.47
Alpha(%)  (Returns over Benchmark)
------0.040.840.500.51-0.03
Expense Ratio(%)
------0.510.510.510.370.35

CAGR

9 Year5 Year3 Year1 Year
Benchmark# BM# Returns(%)
--10.435.34
Fund Returns(%)
--10.965.78
Implied  Investor Returns(%) IR
--11.734.81
                                                                                                                                                            Benchmark# is NIFTY 50

Kotak Nifty 50 Index Fund Review : 19 Apr 2025

Kotak Nifty 50 Index Fund is a Index Funds - Nifty with an 808(Cr) AUM. It is Open Ended scheme launched on 21 Jun 2021. Currently, Devender Singhal and Satish Dondapati as the fund managers managing the fund. Benchmark of the scheme is BSE SENSEX - TRI.

1. How has the Kotak Nifty 50 Index Fund Performed in the past? N/A

  • The fund has been operational for less than 5 years and hence it too early to be rated on Performance consistency.
  • The 3, 5 and 9-year average rolling returns and rolling alpha are not available
  • For last 5 years, Investors have earned close to or more returns than the Fund. This may indicate that they were aligned to the investing process followed by the fund.

2. How is the Quality of Kotak Nifty 50 Index Fund? Q

Fund's Portfolio Quality is Very Good. It has a large proportion of Green Stocks.
  • Portfolio Composition

    The fund is 100% in equity and hold 50 number of stocks. The Top 3 stocks are Reliance Industries, ICICI Bank and HDFC Bank and account for 30% of its portfolio. Top 5 and 10 stocks of fund account for 40% and 57% of fund’s portfolio respectively. Top three sectors of funds are BFSI, IT and Oil & Gas accounting for 58% of the total portfolio.
  • 3. Should you SIP in Kotak Nifty 50 Index Fund? N/A Q

    • It is better to invest in a fund with a longer track record as this fund cannot be assessed for consistency of out-performance.
    • However, fund's returns unlikely to be different than its benchmark NIFTY 50, as the Fund’s portfolio is similar to its benchmark.
    • You need to look at the other funds in your portfolio and ensure this fund helps diversify your portfolio meaningfully.
    • Before investing a large lumpsum amount in a fund you need to assess its Upside Potential. You can contact us for advice.

    4. What are the Risks in the Kotak Nifty 50 Index Fund?

    • Kotak Nifty 50 Index Fund is likely to fall lesser than the market. It is likely to do well in a falling market but not in a rising market.
    • The Fund has fallen harder, but not recovered faster than its Benchmark.

    Underlying Asset Quality & Valuation

    Underlying Asset Quality Valuation(%)
    Underlying Asset Valuation (%)

    Peer Comparison on returns

    Upside and Downside Capture Ratio

    1 Year3 Year5 Year9 Year
    Upside %
    101101--
    Downside %
    19252723

    Statistical Measure*

    Mean Std Dev Sharpe Sortino Beta Alpha
    Fund
    0.03%0.940.020.031.00-0.03%
    Benchmark#
    0.04%0.940.020.031.00-
    *Based on daily returns for past 1 year.

    Mean and Standard Deviation

    Average Rolling Return Standard Deviation
    1 Year 3 Year5 Year9 Year1 Year3 Year5 Year9 Year
    Fund
    15.4613.170.000.0010.292.740.000.00
    Benchmark#
    14.8312.560.000.0010.322.720.000.00
    Drawdown and Recovery Period

    No Data Found

    Top 10 Holdings

    Company (Q)Sector% Assets
    BFSI13.06
    BFSI8.94
    Oil & Gas8.12
    IT5.31
    Telecom4.37
    Construction & Infrastructure3.85
    FMCG3.58
    IT3.46
    BFSI3
    BFSI2.96

    Fund Overview Kotak Nifty 50 Index Fund - Regular Plan - Growth

    Launch Date
    21 Jun 2021
    Benchmark
    BSE SENSEX - TRI
    Performance comparison Benchmark#
    NIFTY 50
    Riskometer
    Very High
    Turnover
    19.77%
    Type
    Open ended scheme
    Return Since Launch
    13.27%
    Min. Investment
    100.00
    Min. Additional investment Min. Add. inv.
    100.00
    Min. SIP
    100.00
    Min. Cheques
    6
    Min. Withdrawal
    100.00
    Exit Load
    0.00%
    Remark
    Nil
    PortfolioCompare

    FAQ : Kotak Nifty 50 Index Fund - Regular Plan - Growth

    Kotak Nifty 50 Index Fund - Regular Plan - Growth has delivered CAGR and average rolling returns as follows :

    1 Year 3 Year 5 Year 9 Year
    CAGR(%) 5.78 10.96 N/A N/A
    Average Rolling Returns(%) 15.46 13.17 N/A N/A

    The Current NAV of Kotak Nifty 50 Index Fund - Regular Plan - Growth is ₹15.40.

    It is better to invest in a fund with a longer track record as Kotak Nifty 50 Index Fund - Regular Plan - Growth cannot be assessed for consistency of out-performance. However, funds returns unlikely to be different than its benchmark NIFTY 50, as the Funds portfolio is similar to its benchmark.

    Kotak Nifty 50 Index Fund - Regular Plan - Growth fund’s expense ratio is 0.35%

    The process for redemption is

    • Give a request for redemption of the number of units or the amount you want. The request will be acknowledged.
    • You will get information about the redemption and the NAV at which redeemed.
    • The amount will be deposited in the designated bank account.

    The AUM of Kotak Nifty 50 Index Fund - Regular Plan - Growth is currently ₹808 Crores.

    The Top three stocks are HDFC Bank, ICICI Bank and Reliance Industries and account for 30% of its portfolio. Top 5 and 10 stocks of fund account for 40% and 57% of fund’s portfolio respectively.

    Top three sectors of Kotak Nifty 50 Index Fund - Regular Plan - Growth fund are BFSI, IT and Oil & Gas accounting for 58% of the total portfolio.

    Funds Portfolio Quality is Very Good. It has a large proportion of Green Stocks.Since this is a Index Funds - Nifty it is comparatively safer to invest in this fund. However, since it has not consistently outperformed its benchmark index on an average 3-year rolling returns basis it is not the most suitable fund for SIP.

    The category of Kotak Nifty 50 Index Fund - Regular Plan - Growth Fund is Index Funds - Nifty.

    Devender Singhal and Satish Dondapati manage the Kotak Nifty 50 Index Fund - Regular Plan - Growth Fund.

    Kotak Nifty 50 Index Fund - Regular Plan - Growth current PE ratio is 33.57 and PB ratio is 5.59

    The asset allocation of Kotak Nifty 50 Index Fund - Regular Plan - Growth is Stocks : 99.95%, Debt : 0.07% and Gold : 0%

    The minimum SIP amount for Kotak Nifty 50 Index Fund - Regular Plan - Growth is ₹100.00 and minimum lumpsum is ₹100.00

    The exit load for Kotak Nifty 50 Index Fund - Regular Plan - Growth is Nil

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