Kotak Dividend Yield Fund

Regular
Direct

1 Year Absolute Returns

-

NAV (₹) on 19 Aug 2026

9.76

1 Day NAV Change

-0.38%

Risk Level

Very High Risk

Rating

-

Kotak Dividend Yield Fund is a Equity mutual fund categorized under Diversified, offered by Kotak Mahindra Asset Management Company Ltd.. Launched on 05 Jan 2026, investors can start with a minimum ... Read more

NAV History

Fund Details

Min. SIP Amount
₹100
Inception Date
05 Jan 2026
Min. Lumpsum Amount
₹ 100
Fund Age
0 Yrs
AUM
₹ 240.91 Cr.
Benchmark
NIfty 500 Total Return
Expense Ratio
2.51%
Scheme Type
Open Ended
Exit Load
1%

Asset Allocation

AUM

₹ 240.91 Cr

Equity
97.53%
Money Market & Cash
2.32%
Other Assets & Liabilities
0.15%

Sector Holdings

Sectors Weightage
Finance - Banks - Private Sector 16.59%
Hospitals & Medical Services 6.72%
Finance - Banks - Public Sector 6.48%
IT Consulting & Software 5.92%
Non-Banking Financial Company (NBFC) 5.52%
Pharmaceuticals 5.10%
Refineries 4.05%
Auto - Cars & Jeeps 3.39%
Telecom Services 3.33%
Auto - 2 & 3 Wheelers 3.19%
Construction, Contracting & Engineering 3.01%
Industrial Explosives 2.79%
Beverages & Distilleries 2.73%
Power - Generation/Distribution 2.68%
Treps/Reverse Repo 2.32%
Telecom Equipment 2.18%
Cement 2.07%
Gems, Jewellery & Precious Metals 2.02%
Finance - Mutual Funds 1.97%
Forgings 1.78%
Power - Transmission/Equipment 1.77%
Iron & Steel 1.76%
Food Processing & Packaging 1.73%
Aerospace & Defense 1.60%
Finance - Term Lending Institutions 1.32%
Aluminium 1.19%
Auto - LCVs/HCVs 1.05%
Mining/Minerals 1.00%
Exchange Platform 0.94%
Realty 0.93%
LPG/CNG/PNG/LNG Bottling/Distribution 0.85%
Oil Drilling And Exploration 0.81%
Tyres & Tubes 0.80%
Services - Others 0.26%
Current Assets 0.15%

Stock Holdings

Name Weightage Value (in Cr.) Sector
ICICI BANK LTD. 6.08% ₹ 14.64 Finance - Banks - Private Sector
HDFC BANK LTD. 4.88% ₹ 11.75 Finance - Banks - Private Sector
BHARTI AIRTEL LTD. 3.33% ₹ 8.03 Telecom Services
RELIANCE INDUSTRIES LTD. 3.27% ₹ 7.87 Refineries
STATE BANK OF INDIA. 3.05% ₹ 7.35 Finance - Banks - Public Sector
Apollo Hospitals Enterprise Ltd. 3.05% ₹ 7.34 Hospitals & Medical Services
Larsen and Toubro Ltd. 3.01% ₹ 7.25 Construction, Contracting & Engineering
Solar Industries India Limited 2.79% ₹ 6.71 Industrial Explosives
United Spirits Ltd 2.73% ₹ 6.58 Beverages & Distilleries
Max Healthcare Institute Ltd. 2.71% ₹ 6.54 Hospitals & Medical Services
SUN PHARMACEUTICAL INDUSTRIES LTD. 2.69% ₹ 6.47 Pharmaceuticals
NTPC LTD 2.68% ₹ 6.45 Power - Generation/Distribution
INDUSIND BANK LTD. 2.54% ₹ 6.13 Finance - Banks - Private Sector
TVS Motor Company Ltd. 2.33% ₹ 5.61 Auto - 2 & 3 Wheelers
Triparty Repo 2.32% ₹ 5.60 Others
Maruti Suzuki India Limited 2.22% ₹ 5.36 Auto - Cars & Jeeps
CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LTD. 2.19% ₹ 5.27 Non-Banking Financial Company (NBFC)
Indus Towers Ltd. 2.18% ₹ 5.26 Telecom Equipment
BANK OF MAHARASHTRA 2.14% ₹ 5.16 Finance - Banks - Public Sector
Ultratech Cement Ltd. 2.07% ₹ 4.99 Cement
AXIS BANK LTD. 2.05% ₹ 4.94 Finance - Banks - Private Sector
TITAN COMPANY LTD. 2.02% ₹ 4.88 Gems, Jewellery & Precious Metals
HDFC ASSET MANAGEMENT COMPANY LTD. 1.97% ₹ 4.73 Finance - Mutual Funds
BHARAT FORGE LTD. 1.78% ₹ 4.29 Forgings
SHRIRAM FINANCE LIMITED 1.78% ₹ 4.29 Non-Banking Financial Company (NBFC)
Power Grid Corporation of India Ltd. 1.77% ₹ 4.26 Power - Transmission/Equipment
Tata Steel Ltd. 1.76% ₹ 4.25 Iron & Steel
Britannia Industries Ltd. 1.73% ₹ 4.17 Food Processing & Packaging
Bharat Electronics Ltd. 1.60% ₹ 3.86 Aerospace & Defense
Infosys Ltd. 1.56% ₹ 3.76 IT Consulting & Software
BAJAJ FINANCE LTD. 1.55% ₹ 3.74 Non-Banking Financial Company (NBFC)
TATA CONSULTANCY SERVICES LTD. 1.55% ₹ 3.74 IT Consulting & Software
Tech Mahindra Ltd. 1.43% ₹ 3.45 IT Consulting & Software
Persistent Systems Limited 1.38% ₹ 3.33 IT Consulting & Software
Ajanta Pharma Ltd. 1.35% ₹ 3.26 Pharmaceuticals
Power Finance Corporation Ltd. 1.32% ₹ 3.18 Finance - Term Lending Institutions
BANK OF BARODA 1.29% ₹ 3.11 Finance - Banks - Public Sector
Hindalco Industries Ltd. 1.19% ₹ 2.87 Aluminium
Mahindra & Mahindra Ltd. 1.17% ₹ 2.82 Auto - Cars & Jeeps
TORRENT PHARMACEUTICALS LTD. 1.06% ₹ 2.56 Pharmaceuticals
Ashok Leyland Ltd. 1.05% ₹ 2.53 Auto - LCVs/HCVs
Ujjivan Small Finance Bank Ltd. 1.04% ₹ 2.51 Finance - Banks - Private Sector
Coal India Limited 1.00% ₹ 2.40 Mining/Minerals
ASTER DM HEALTHCARE LTD 0.96% ₹ 2.30 Hospitals & Medical Services
BSE LTD 0.94% ₹ 2.26 Exchange Platform
DLF LIMITED 0.93% ₹ 2.24 Realty
Hero MotoCorp Ltd. 0.86% ₹ 2.07 Auto - 2 & 3 Wheelers
Petronet LNG Ltd. 0.85% ₹ 2.05 LPG/CNG/PNG/LNG Bottling/Distribution
Oil And Natural Gas Corporation Ltd. 0.81% ₹ 1.94 Oil Drilling And Exploration
MRF Ltd. 0.80% ₹ 1.94 Tyres & Tubes
HINDUSTAN PETROLEUM CORPORATION LTD. 0.78% ₹ 1.87 Refineries
Teamlease Services Ltd 0.26% ₹ 0.62 Services - Others
Net Current Assets/(Liabilities) 0.15% ₹ 0.33 Others

Returns

Annualised returns
9M 1Y 2Y 3Y
Fund returns - - - -
Category returns 2.99% 5.86% 6.11% 44.60%

Fund Objective

The investment objective of the scheme is to generate long-term capital appreciation and/or dividend distribution by investing predominantly in a well-diversified portfolio of equity and equity ... Read more

AMC Details

Name
Kotak Mahindra Asset Management Company Ltd.
Date of Incorporation
23 Jun 1998
CEO
Mr. Nilesh Shah
CIO
Mr. Deepak Agrawal Mr. Harsha Upadhyaya
Type
Pvt.Sector-Indian
Address
27 BKC, C-27, G Block, Bandra Kurla Complex, Bandra (E), Mumbai, Maharashtra, India - 400051
Website
http://www.assetmanagement.kotak.com

Top Funds from Equity - Dividend Yield

Scheme Name
NAV
Returns
1Y 3Y 5Y
AUM (Cr)
Expense Ratio
Risk Meter
LIC MF Dividend Yield Fund - Direct Plan
Diversified Direct
10.04% 78.63% 117.94% ₹731 1.00%
Very High
LIC MF Dividend Yield Fund - Direct Plan
Diversified Direct
10.03% 78.54% 117.82% ₹731 1.00%
Very High
LIC MF Dividend Yield Fund - Direct Plan
Diversified Direct
10.03% 78.54% 117.82% ₹731 1.00%
Very High
LIC MF Dividend Yield Fund
Diversified Regular
8.35% 71.27% 104.93% ₹731 2.47%
Very High
LIC MF Dividend Yield Fund
Diversified Regular
8.35% 71.27% 104.93% ₹731 2.47%
Very High
LIC MF Dividend Yield Fund
Diversified Regular
8.35% 71.27% 104.93% ₹731 2.47%
Very High
ICICI Prudential Dividend Yield Equity Fund - Direct Plan
Diversified Direct
1.55% 64.16% 132.39% ₹6,785 0.76%
Very High
Tata Dividend Yield Fund - Direct Plan
Diversified Direct
14.13% 60.83% 104.23% ₹1,122 0.76%
Very High
Tata Dividend Yield Fund - Direct Plan
Diversified Direct
14.13% 60.83% 104.23% ₹1,122 0.76%
Very High
Tata Dividend Yield Fund - Direct Plan
Diversified Direct
14.13% 60.83% 104.23% ₹1,122 0.76%
Very High

Top Funds from Kotak Mahindra Asset Management Company Ltd.

Scheme Name
NAV
Returns
1Y 3Y 5Y
AUM (Cr)
Expense Ratio
Risk Meter
Kotak Silver ETF
ETF Regular
98.53% 213.35% 0.00% ₹3,376 0.35%
Very High
Kotak Silver ETF Fund of Fund - Direct Plan
Fund of Funds Direct
97.61% 207.02% 0.00% ₹914 0.28%
Very High
Kotak Silver ETF Fund of Fund
Fund of Funds Regular
96.78% 202.93% 0.00% ₹914 0.65%
Very High
Kotak Gold ETF
ETF Regular
53.24% 154.56% 209.61% ₹13,567 0.52%
High
Kotak Gold Fund - Direct Plan
Fund of Funds Direct
53.01% 152.65% 204.57% ₹6,532 0.14%
High
Kotak Gold Fund - Direct Plan
Fund of Funds Direct
53.01% 152.65% 204.57% ₹6,532 0.14%
High
Kotak Gold Fund - Direct Plan
Fund of Funds Direct
53.01% 152.65% 204.57% ₹6,532 0.14%
High
Kotak Gold Fund - Regular Plan
Fund of Funds Regular
52.51% 150.10% 199.31% ₹6,532 0.45%
High
Kotak Gold Fund - Regular Plan
Fund of Funds Regular
52.50% 150.10% 199.31% ₹6,532 0.45%
High
Kotak Gold Fund - Regular Plan
Fund of Funds Regular
52.50% 150.10% 199.31% ₹6,532 0.45%
High

FAQs

What is the current NAV of Kotak Dividend Yield Fund Regular Growth?

The current Net Asset Value (NAV) of Kotak Dividend Yield Fund Regular Growth is ₹9.76 as of 19 Aug 2026. NAV represents the per-unit market value of the fund and is updated daily based on the closing prices of the underlying securities.

What is the fund size (AUM) of Kotak Dividend Yield Fund Regular Growth?

The Assets Under Management (AUM) of Kotak Dividend Yield Fund Regular Growth is ₹240.91 Crores. AUM indicates the total market value of assets managed by the fund and reflects investor confidence and fund popularity.

What are the historical returns of Kotak Dividend Yield Fund Regular Growth?

Kotak Dividend Yield Fund Regular Growth has delivered returns of 0.00% (1 Year), 0.00% (3 Year), 0.00% (5 Year). Past performance does not guarantee future results, and investors should consider their risk appetite before investing.

What is the risk level of Kotak Dividend Yield Fund Regular Growth?

Kotak Dividend Yield Fund Regular Growth has a risk rating of 'Very High' as per the SEBI Riskometer. This indicates the fund is suitable for very aggressive investors comfortable with significant market volatility. Investors should align their investment choices with their personal risk tolerance and financial goals.

What is the minimum investment amount for Kotak Dividend Yield Fund Regular Growth?

The minimum lumpsum investment required for Kotak Dividend Yield Fund Regular Growth is ₹100. The fund also offers SIP (Systematic Investment Plan) option starting from as low as ₹100, making it accessible for regular investments. This allows investors to start their mutual fund journey with a manageable amount.

Disclaimer: This is 3rd Party content/feed, viewers are requested to use their discretion and conduct proper diligence before investing, GoodReturns does not take any liability on the genuineness and correctness of the information in this article

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