info

Data shown is for informational purposes only and does not constitute investment advice. TopFund is not SEBI-registered. Consult a SEBI-registered advisor before investing.

Kotak Mahindra Mutual Fund

KOTAK NIFTY 200 QUALITY 30 INDEX FUND - REGULAR PLAN - IDCW - PAYOUT AND REINVESTMENT

monitor_heart Health Score: 68/100 · Good

Kotak Mahindra Mutual Fund · Other · Index Funds

₹9.79

+0.02 (+0.16%) trending_up

AUM: ₹15 Cr

NAV updated about 2 months ago

Plan

Regular

Option

Idcw

Risk

High

Expense Ratio

0.22%

Exit Load

Nil

Fund Manager

Abhishek Bisen

Inception

Jul 2025

Benchmark

NIFTY 200 Quality 30 Total Return Index

Sharpe Ratio

-0.57

Std Dev (1Y)

13.74%

Historical Returns (CAGR)

Annualized trailing returns computed from NAV history — past performance only, not a guarantee of future results.

1m

-3.6%

3m

+1.8%

6m

-5.34%

1y

3y

5y

10y

since inception

-3.94%

rate_review TopFund's Take on KOTAK NIFTY 200 QUALITY 30 INDEX FUND - REGULAR PLAN - IDCW - PAYOUT AND REINVESTMENT

KOTAK NIFTY 200 QUALITY 30 INDEX FUND - REGULAR PLAN - IDCW - PAYOUT AND REINVESTMENT holds up reasonably well within the Index Funds category. TopFund's composite Health Score, which weighs rating, 3-year CAGR, expense ratio and fund size, puts it at 68/100.

Cost: At 0.22%, the expense ratio is meaningfully cheaper — about 45% below the Index Funds category average of 0.4% (based on 908 comparable funds). Lower costs compound in your favour over long holding periods.

Risk-adjusted performance: Over the trailing 1-year period, the fund shows a negative Sharpe ratio of -0.57 — over the past year, returns haven't kept pace with the volatility involved, even before accounting for the risk-free rate. Separately, annualised volatility of 13.74% is fairly typical for actively managed equity funds.

Who should invest: This fund is best suited to cost-conscious investors happy to simply match the market rather than try to beat it. The High risk rating means near-term volatility should be expected — this isn't a fund to check daily.

This is an automated, data-driven analysis based on the fund's own metrics and its category peers — not personalized investment advice. Consult a SEBI-registered advisor before investing.

donut_small Sector Allocation

pie_chart Asset Allocation

Equity 99.88%
Net Current Assets 0.12%

Frequently Asked Questions about KOTAK NIFTY 200 QUALITY 30 INDEX FUND - REGULAR PLAN - IDCW - PAYOUT AND REINVESTMENT

* Past performance is not indicative of future results. Mutual fund investments are subject to market risks.

1