Fund Overview
Fund

Kotak Nifty Top 10 Equal Weight Index Fund

Underlying Index: Nifty Top 10 Equal WeightISIN: INF174KA1WD0

8.86-10.04% (1Y)
End of Day NAV as on Sep 10, 2026
8.59.19.710.210.8Sep 2025Feb 2026Sep 2026

Fundamentals

Asset TypeEquity
Underlying Index TypeStrategy Index
No. of Companies10
Market Cap FocusLarge Cap
P/E21.56
P/B3.89
Div Yield2.05%
Std Deviation (1 yr)0.87%

Fund Parameters

AUM (Cr)41
Base Expense Ratio0.21%
Tracking Error0.08%
All-In-Cost0.29%
Inception Date28 Apr 2025
Scheme Plan - Option - TypeDirect Plan - Growth - Open ended scheme
Native Score

Similar Exchange Traded Funds (ETFs)

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Fund NameLast CloseAUM (Cr)Avg Exp RatioTracking Error1M ADTO (Cr)1M Avg NAV GapAll-In-CostScore
84.897170.13%0.01%2-0.05%0.14%

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Fund NameLast CloseAUM (Cr)Avg Exp RatioTracking ErrorAll-In-CostScore
N/A1,1170.21%0.08%0.29%

Sectoral Allocation

Total
100%
allocation
  • Bank38.3%
  • IT21.9%
  • Telecom10.5%
  • Crude Oil9.9%
  • FMCG9.7%
  • Infrastructure9.4%
  • Others0.4%

Fund Holdings

NameWeight
Tata Consultancy Services Ltd.11.2%
Infosys Ltd.10.7%
Bharti Airtel Ltd.10.5%
ICICI Bank Ltd.10.4%
Reliance Industries Ltd.9.9%
ITC Ltd.9.7%
Kotak Mahindra Bank Ltd.9.6%
HDFC Bank Ltd.9.4%
Larsen & Toubro Ltd.9.4%
Axis Bank Ltd.8.9%
Net Current Asset0.4%

Holdings Concentration

Total covered: 100%
Top 1–5
5 holdings
52.7%
53%
share
Top 6–10
5 holdings
46.9%
47%
share
Top 11–20
1 holding
0.4%
0%
share

Market Cap Classification

Total
100%
allocation
  • Large Cap99.6%

Advanced Ratios

Alpha-0.01
Beta0.99
Sharpe Ratio-0.04
Sortino Ratio-0.07
Treynor Ratio-0.04
Information Ratio-0.11
Upside Capture97.44%
Downside Capture100.32%

Index Methodology

Factor BasisEqual Weight
UniverseNifty 50
WeightageEqually Weighted; Individual Weight - 1/N
Stocks IncludedTop 10 stocks selected based on 6-month average free-float market capitalization from the Nifty 50.
ExclusionsContituents moving out of the Nifty 50; Constituents with Corporate Actions (Scheme of Arrangement, Delisting); Constituent moved to BZ Series.

Fund • Last updated: 11/09/2026