OmniAssetMutual funds › KOTAK NIFTY 200 QUALITY 30 INDEX FUND

KOTAK NIFTY 200 QUALITY 30 INDEX FUND

Index Fund fund benchmarked to Nifty 200 Quality 30 Index (Total Return Index (TRI)). Every figure below is read from one dated snapshot; what the snapshot cannot prove is left out, never estimated.

Latest NAV2 Sep 20269.963
CategoryIndex Fund
PlanDirect · Idcw
Launched23 Jun 2025
Risk labelthe scheme's own riskometerVery High Risk
Legal benchmarkSEBI Tier-1Nifty 200 Quality 30 Index (Total Return Index (TRI))
Expense ratiodirect plan, a year · stated maximum, from the scheme document0.37%
AUM₹0.17 Cr
Growth of ₹10,000₹9,96718 Jul 2025 to 2 Sep 2026
₹10,404₹10,010₹9,616₹9,222₹8,828Jul 2025Oct 2025Feb 2026May 2026Sep 2026
₹9,967 (-0.3% a year) KOTAK NIFTY 200 QUALITY 30 INDEX FUND
Growth of ₹10,000 — every plotted observation
PointKOTAK NIFTY 200 QUALITY 30 INDEX FUND
18 Jul 2025₹10,000
21 Jul 2025₹10,021
28 Jul 2025₹9,683
4 Aug 2025₹9,794
11 Aug 2025₹9,709
18 Aug 2025₹9,840
25 Aug 2025₹9,958
1 Sep 2025₹9,983
8 Sep 2025₹9,991
15 Sep 2025₹10,165
22 Sep 2025₹10,129
30 Sep 2025₹9,815
6 Oct 2025₹9,992
13 Oct 2025₹10,017
20 Oct 2025₹10,205
27 Oct 2025₹10,254
3 Nov 2025₹10,186
10 Nov 2025₹10,180
17 Nov 2025₹10,357
24 Nov 2025₹10,234
1 Dec 2025₹10,343
8 Dec 2025₹10,223
15 Dec 2025₹10,287
22 Dec 2025₹10,404
29 Dec 2025₹10,319
5 Jan 2026₹10,397
12 Jan 2026₹10,336
19 Jan 2026₹10,376
27 Jan 2026₹10,143
2 Feb 2026₹10,060
9 Feb 2026₹10,134
16 Feb 2026₹9,895
23 Feb 2026₹9,859
2 Mar 2026₹9,669
9 Mar 2026₹9,468
16 Mar 2026₹9,192
23 Mar 2026₹8,895
30 Mar 2026₹8,828
6 Apr 2026₹9,184
13 Apr 2026₹9,466
20 Apr 2026₹9,859
27 Apr 2026₹9,767
4 May 2026₹9,848
11 May 2026₹9,902
18 May 2026₹9,721
25 May 2026₹9,815
1 Jun 2026₹9,711
8 Jun 2026₹9,582
15 Jun 2026₹9,651
22 Jun 2026₹9,744
29 Jun 2026₹9,545
6 Jul 2026₹9,772
13 Jul 2026₹9,807
20 Jul 2026₹9,869
27 Jul 2026₹9,951
3 Aug 2026₹10,238
10 Aug 2026₹10,282
17 Aug 2026₹10,145
24 Aug 2026₹10,053
31 Aug 2026₹10,054
2 Sep 2026₹9,967

Performance (trailing, annualised)

1Y annualised-0.66%

Point-to-point from the fund's own published NAV; a period the history does not span is left out.

SIP returns

SIP 1Y (₹10,000 a month)invested ₹1,20,000 → worth ₹1,20,4920.76%

₹10,000 on the first of every month, valued at the latest NAV, as an annualised rate (XIRR).

Risk

Volatility (3Y)13.16%
Downside deviation (3Y)9.79%
Maximum drawdown-15.80%

Management

Fund managerMr. Satish Dondapati FM 2 Mr. Abhishek Bisen FM 3 Mr. Jeetu Valechha Sonar
Managing since3 Sep 2026

Related

Source: the OmniAsset signed reference snapshot, as of 4 Sep 2026. Figures are deterministic; missing data is withheld, never estimated. See methodology and data sources. Not investment advice.

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