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Index FundsKotak Mahindra Asset Management Company Limited.Not enough history yet

Kotak Nifty 50 Equal Weight Index Fund - Direct Plan - Growth

Benchmark: NIFTY50 Equal Weight TRI · Riskometer: Very High

₹11.281

NAV (2026-08-31)

₹67.702 Cr

AUM (2026-08-31)

0.4449%

EXPENSE RATIO (DIRECT)

2024-12-02

INCEPTION

?Quality · -/100
?Safety · -/100
?Compound · -/100

Punji Fund Health Score - percentile-within-category. See methodology.

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Rolling CAGR by holding period - min, median, max

Each group is one holding-period length. Full range of outcomes across every overlapping window in the fund's history, not one trailing number.

0%5.6%11%17%23%1Y
Min rolling CAGRMedian rolling CAGRMax rolling CAGR

Not enough data yet to rank this fund against its category.

This fund tracks an index, so measuring alpha against that same index would only report its tracking error.

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Top sector holdings

Share of portfolio (% to NAV) in each of the top sectors.

10.86%10.45%9.4%8.55%TOP 26100%
IT - Software 10.86%Automobiles 10.45%Banks 9.4%Finance 8.55%Pharmaceuticals & Biotechnology 5.74%Consumer Durables 4.21%Retailing 4.1%Healthcare Services 4.01%Cement & Cement Products 3.96%Ferrous Metals 3.95%Insurance 3.87%Power 3.79%Diversified FMCG 3.78%Food Products 2.13%Telecom - Services 2.05%Oil 1.97%Non - Ferrous Metals 1.94%Petroleum Products 1.94%Transport Services 1.93%Agricultural Food & other Products 1.92%Metals & Minerals Trading 1.91%Construction 1.83%Consumable Fuels 1.83%Aerospace & Defense 1.83%Transport Infrastructure 1.82%Other 0.23%

TOP HOLDINGS

HCL Technologies Ltd. (IT - Software)2.35%
ETERNAL LIMITED (Retailing)2.3%
Bajaj Auto Ltd. (Automobiles)2.3%
BAJAJ FINANCE LTD. (Finance)2.24%
Bajaj Finserv Ltd. (Finance)2.22%
TITAN COMPANY LTD. (Consumer Durables)2.2%
Tech Mahindra Ltd. (IT - Software)2.2%
TATA CONSULTANCY SERVICES LTD. (IT - Software)2.18%
Mahindra & Mahindra Ltd. (Automobiles)2.16%
Nestle India Ltd. (Food Products)2.13%

This fund tracks an index, so its behaviour mirrors that index rather than a manager's decisions. Matching it to peers on behaviour would not say anything useful.

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Asset Allocation

As of Jul-2026

99.77%TOP 3100%
Equity 99.77%Debt 0%Cash 0.23%

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Market Cap Split

As of Jul-2026

86.77%11.45%TOP 3100%
Large 86.77%Mid 11.45%Small 1.76%

Portfolio analytics as of Jul-2026.

Data as of 2026-09-02. Source: AMFI disclosures via Punji. Not investment advice.