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- Kotak Nifty 100 Low Volatility 30 Etf

Kotak Nifty 100 Low Volatility 30 Etf
NAV (Nov 24,2023)
Kotak Nifty 100 Low Volatility 30 Etf Latest Trend
- 1M
- 2M
- 3M
Kotak Nifty 100 Low Volatility 30 Etf Latest Trend
Risk Ratios
- P/E Ratio35.70
- P/B Ratio10.72
- Alpha-0.00
- Beta1.00
- Sharpe0.09
- Sortino0.15
Fund Overview
0.20%
0%
No Lock-in
₹ 15.82 Cr
SIP ₹5000.00
Scheme Riskometer
Investors understand that their principal will be at
Very High
Investment Return Calculator
as on Nov 29, 2023
Total Invested Amount | 3 Months Absolute Return (In %) | 6 Months Absolute Return (In %) | 1 Year Absolute Return (In %) | 3 Year Absolute Return (In %) | 5 Year Absolute Return (In %) |
---|---|---|---|---|---|
₹ 10,000 | ₹ 10,462.88 (4.63%) | ₹ 11,446.02 (14.46%) | ₹ 11,694.41 (16.94%) | ₹ -- (--) | ₹ -- (--) |
₹ 30,000 | ₹ 31,388.64 (4.63%) | ₹ 34,338.06 (14.46%) | ₹ 35,083.23 (16.94%) | ₹ -- (--) | ₹ -- (--) |
₹ 50,000 | ₹ 52,314.4 (4.63%) | ₹ 57,230.1 (14.46%) | ₹ 58,472.05 (16.94%) | ₹ -- (--) | ₹ -- (--) |
₹ 80,000 | ₹ 83,703.04 (4.63%) | ₹ 91,568.16 (14.46%) | ₹ 93,555.28 (16.94%) | ₹ -- (--) | ₹ -- (--) |
₹ 1,00,000 | ₹ 1,04,628.8 (4.63%) | ₹ 1,14,460.2 (14.46%) | ₹ 1,16,944.1 (16.94%) | ₹ -- (--) | ₹ -- (--) |
Calculate Your Mutual Fund Returns
Fund Portfolio Allocation
- Holdings
- Sectors
Name
Assets
- Nestle India Ltd4.13%
- ICICI BANK LTD3.87%
- SUN PHARMACEUTICAL INDUSTRIES LTD3.83%
- Hindustan Unilever Ltd3.71%
- KOTAK MAHINDRA BANK LTD3.68%
- Ultratech Cement Ltd3.56%
- Dr Reddy s Laboratories Ltd3.50%
- Indian Oil Corporation Ltd3.46%
- Bajaj Auto Ltd3.46%
- Larsen and Toubro Ltd3.44%
- HDFC BANK LTD3.43%
- ITC Ltd3.38%
- Tata Consultancy Services Ltd3.34%
- SBI Life Insurance Company Ltd3.32%
- Britannia Industries Ltd3.30%
- RELIANCE INDUSTRIES LTD3.29%
- Wipro Ltd3.28%
- National Thermal Power Corporation Ltd3.26%
- Asian Paints India Ltd3.23%
- HCL Technologies Ltd3.20%
- Cipla Ltd3.20%
- Torrent Pharmaceuticals Ltd3.19%
- Dabur India Ltd3.13%
- Colgate Palmolive India Ltd3.10%
- Hero MotoCorp Ltd3.09%
- Bosch Limited3.08%
- Pidilite Industries Ltd2.98%
- Berger Paints India Ltd2.83%
- Power Grid Corporation of India Ltd2.82%
- MARICO LTD2.80%
- Net Current Assets Liabilities0.08%
- Pharmaceuticals & Drugs13.72%
- Bank - Private10.99%
- Consumer Food10.23%
- IT - Software9.82%
- Refineries6.75%
- Paints6.06%
- Cigarettes/Tobacco3.38%
- Insurance3.32%
- Auto Ancillary3.08%
- Chemicals2.98%
- Miscellaneous0.08%
Holdings Analysis
Peer Comparison
Pick your choice with our quick comparitive analysis
- 6M
- 1Y
- 3Y
- 5Y
Mutual Fund Schemes | Category | Risk | Absolute Return (6M) |
| EQUITY | Very High | 9.03% |
| EQUITY | Very High | 9.03% |
| EQUITY | Very High | 9.03% |
| EQUITY | Very High | 9.02% |
| EQUITY | Very High | 8.95% |
| EQUITY | Very High | 8.44% |
| EQUITY | Very High | 5.71% |
| COMMODITY | High | 1.99% |
| EQUITY | Very High | 0.68% |
| COMMODITY | High | 0.19% |
Mutual Fund Schemes | Category | Risk | Absolute Return (6Y) |
| COMMODITY | High | 15.19% |
| COMMODITY | High | 14.85% |
| COMMODITY | High | 14.66% |
| COMMODITY | High | 14.51% |
| COMMODITY | High | 14.49% |
| COMMODITY | High | 14.31% |
| EQUITY | Very High | 8.20% |
| EQUITY | Very High | 7.36% |
| EQUITY | Very High | 6.94% |
| EQUITY | Very High | 2.33% |
Mutual Fund Schemes | Category | Risk | Absolute Return (6Y) |
| EQUITY | Very High | 28.37% |
| EQUITY | Very High | 17.47% |
| EQUITY | Very High | 16.21% |
| EQUITY | Very High | 16.18% |
| EQUITY | Very High | 16.15% |
| EQUITY | Very High | 14.29% |
| COMMODITY | High | 7.09% |
| COMMODITY | High | 7.07% |
| COMMODITY | High | 6.83% |
| DEBT | Low | 4.23% |
Mutual Fund Schemes | Category | Risk | Absolute Return (6Y) |
| EQUITY | Very High | 14.79% |
| EQUITY | Very High | 14.68% |
| EQUITY | Very High | 14.62% |
| EQUITY | Very High | 14.54% |
| COMMODITY | High | 13.90% |
| COMMODITY | High | 13.82% |
| COMMODITY | High | 13.53% |
| EQUITY | Very High | 10.99% |
| EQUITY | Very High | 10.31% |
| DEBT | Low | 3.88% |
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