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Kotak Nifty ETF

103.113 0.48 (0.46%)

NAV as on 13 Dec, 2017

CRISIL MF RANK

Riskometer

MODERATELY HIGH

MODERATELY HIGH

  • Principal at moderately high risk.
FUND FAMILY : Kotak Mahindra Mutual Fund FUND CLASS : Index
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Holdings (Oct 31, 17)
Equity Sector Value
(Rs cr)
Assets %
HDFC Bank Banking/Finance 49.97 9.26
Reliance Oil & Gas 42.29 7.83
HDFC Banking/Finance 36.88 6.83
ITC Tobacco 30.69 5.69
ICICI Bank Banking/Finance 26.09 4.83
Infosys Technology 24.96 4.62
Larsen Engineering 20.41 3.78
Kotak Mahindra Banking/Finance 18.51 3.43
TCS Technology 17.69 3.28
SBI Banking/Finance 15.38 2.85
Sector Allocation (Oct 31, 17)
  Sector   % 1-Year
High Low

Banking/Finance

35.05 0.00 0.00

Oil & Gas

12.89 0.00 0.00

Technology

10.79 0.00 0.00

Automotive

10.25 0.00 0.00

Tobacco

5.69 0.00 0.00

Metals & Mining

4.65 0.00 0.00
Asset Allocation (%) (Oct 31, 17)
Class
%

Equity

99.87

Others / Unlisted

0.00

Debt

0.00

Mutual Funds

N.A

Money Market

0.00

Cash / Call

0.13

Net Receivable / Payable

N.A
Concentration
Holdings
%

Top 5

34.44

Top 10

52.40
Sectors
%

Top 3

58.73
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