Home Mf Research Kotak Nifty Midcap 150 Etf

Kotak Nifty Midcap 150 ETF

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Fund info
NAV (as on 2026-01-16)
22.25 0.04%
AUM (Fund Size)
150
Expense Ratio
0.1%
Exit load
Entry Load: Nil. Exit Load: Nil.
Risk
N/A
AMC
Kotak Mutual Fund
View AMC Details

SIP Returns

Period Invested for ₹1000 SIP Started on Investments Latest Value Abs. Returns
One Week 2026-01-09 ₹1,000.00 ₹999.46
-0.05 %
Two Week 2026-01-01 ₹1,000.00 ₹982.34
-1.77 %
One Month 2025-12-17 ₹1,000.00 ₹1,005.74
0.57 %
Three Months 2025-10-20 ₹3,000.00 ₹2,975.67
-0.81 %
Six Months 2025-07-21 ₹6,000.00 ₹6,014.72
0.25 %
Since Inception 2025-03-21 ₹11,000.00 ₹11,409.79
3.73 %

Return Calculator

SIP Amount
1M
6M
1Y
3Y
5Y
Investment
₹0
Maturity Value
₹0
Abs. Returns
0
Current CAGR
0

Portfolio

Allocation of Equity and Debt Asset Classes.

Equity N/A
Debt N/A
Others 25%

Sectors Holding in Kotak Nifty Midcap 150 ETF

Other
25%

Companies Holding in Kotak Nifty Midcap 150 ETF

Lupin Ltd.
1.31%
Aurobindo Pharma Ltd.
0.90%
Glenmark Pharmaceuticals Ltd
0.90%
MANKIND PHARMA LTD
0.81%
Alkem Laboratories Ltd.
0.76%
Biocon Ltd.
0.66%
Ipca Laboratories Ltd.
0.57%
Abbott India Ltd.
0.56%
GLAND PHARMA LIMITED
0.47%
GlaxoSmithKline Pharmaceuticals Ltd.
0.36%
Ajanta Pharma Ltd.
0.33%
FEDERAL BANK LTD.
1.40%
IDFC First Bank Limited
1.28%
AU Small Finance Bank Ltd.
1.17%
YES BANK LTD
1.00%
UNION BANK OF INDIA
0.71%
INDIAN BANK
0.62%
Bandhan Bank Ltd.
0.40%
BANK OF INDIA
0.38%
BANK OF MAHARASHTRA
0.25%
SUZLON ENERGY LTD.
2.06%
GE VERNOVA T&D INDIA LIMITED
0.95%
Bharat Heavy Electricals Ltd.
0.86%
HITACHI ENERGY INDIA LIMITED
0.74%
Apar Industries Limited
0.44%
Thermax Ltd.
0.44%
WAAREE ENERGIES LIMITED
0.27%
PREMIER ENERGIES LIMITED
0.26%
Bharat Forge Ltd.
0.88%
TUBE INVESTMENTS OF INDIA LTD.
0.85%
MRF Limited
0.61%
Balkrishna Industries Ltd.
0.60%
SONA BLW PRECISION FORGINGS LTD
0.57%
UNO MINDA LIMITED
0.52%
Exide Industries Ltd
0.49%
Schaeffler India Ltd
0.47%
Apollo Tyres Ltd.
0.41%
Motherson Sumi Wiring India Limited
0.27%
Endurance Technologies Ltd.
0.25%
BSE LTD.
2.78%
HDFC Asset Management Company Ltd.
1.62%
360 ONE WAM LTD.
0.66%
Nippon Life India Asset Management Ltd.
0.40%
MOTILAL OSWAL FINANCIAL SERVICES LTD
0.38%
COFORGE LIMITED
1.63%
PERSISTENT SYSTEMS LIMITED
1.57%
Mphasis Ltd
0.89%
TATA ELXSI LTD.
0.60%
KPIT TECHNOLOGIES LTD.
0.56%
Oracle Financial Services Software Ltd
0.56%
Sundaram Finance Ltd.
0.90%
Muthoot Finance Ltd
0.78%
SBI Cards & Payment Services Pvt. Ltd.
0.68%
Aditya Birla Capital Ltd.
0.52%
LIC Housing Finance Ltd.
0.49%
Mahindra & Mahindra Financial Services Ltd.
0.48%
L&T FINANCE HOLDINGS LTD
0.46%
CRISIL Ltd.
0.37%
INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LTD.
0.33%
HOUSING & URBAN DEVELOPMENT CORPORATION LTD.
0.30%
TATA INVESTMENT CORPORATION LTD
0.25%
Cummins India Ltd.
1.36%
Polycab India Ltd.
0.98%
APL APOLLO TUBES LTD.
0.81%
SUPREME INDUSTRIES LIMITED
0.78%
KEI INDUSTRIES LTD.
0.66%
Astral Ltd.
0.48%
AIA Engineering Limited.
0.35%
MAX HEALTHCARE INSTITUTE LTD.
2.60%
Fortis Healthcare India Ltd
1.25%
Syngene International Limited
0.38%
Global Health Ltd.
0.31%
Dixon Technologies India Ltd.
1.86%
Voltas Ltd.
0.85%
KALYAN JEWELLERS INDIA LTD.
0.64%
BLUE STAR LTD.
0.63%
Berger Paints (I) Ltd.
0.45%
SRF Ltd.
1.23%
SOLAR INDUSTRIES INDIA LIMITED
0.99%
Gujarat Fluorochemicals Ltd.
0.41%
Linde India Ltd.
0.38%
Deepak Nitrite Ltd.
0.35%
GODREJ PROPERTIES LIMITED
0.89%
PHOENIX MILLS LTD.
0.78%
PRESTIGE ESTATES PROJECTS LIMITED
0.77%
Oberoi Realty Ltd
0.54%
UPL Ltd
1.00%
P I Industries Ltd
0.98%
Coromandel International Ltd.
0.89%
Indus Towers Ltd.
1.35%
Tata Communications Ltd.
0.57%
Vodafone Idea Ltd
0.54%
BHARTI HEXACOM LTD.
0.39%
PB FINTECH LTD.
1.69%
ONE 97 COMMUNICATIONS LTD.
1.04%
NHPC LIMITED
0.74%
TORRENT POWER LTD
0.70%
NTPC GREEN ENERGY LIMITED
0.27%
NLC India Ltd.
0.22%
SJVN LIMITED
0.19%
Marico Ltd.
1.05%
PATANJALI FOODS LIMITED
0.58%
ADANI WILMAR LIMITED
0.24%
Max Financial Services Ltd.
1.11%
General Insurance Corporation Of India
0.34%
STAR HEALTH AND ALLIED INSURANCE LTD.
0.28%
THE NEW INDIA ASSURANCE COMPANY LTD
0.14%
Petronet LNG Ltd.
0.61%
Indraprastha Gas Ltd.
0.40%
Gujarat Gas Ltd.
0.21%
JK Cement Ltd.
0.79%
Dalmia Bharat Limited
0.50%
ACC Ltd.
0.33%
FSN E-COMMERCE VENTURES LTD.
0.80%
VISHAL MEGA MART LIMITED
0.45%
Aditya Birla Fashion And Retail Ltd
0.10%
MAZAGOAN DOCK SHIPBUILDERS LTD
0.59%
COCHIN SHIPYARD LTD.
0.42%
Honeywell Automation India Ltd.
0.32%
Jubilant Foodworks Limited
0.70%
Indian Railway Catering And Tourism Corporation Ltd.
0.62%
Ashok Leyland Ltd.
0.97%
Escorts Ltd.
0.32%
NMDC Ltd.
0.69%
LLOYDS METALS AND ENERGY LTD.
0.56%
HINDUSTAN PETROLEUM CORPORATION LTD
1.13%
Mangalore Refinery And Petrochemicals Ltd.
0.06%
Colgate Palmolive (India ) Ltd.
0.83%
Emami Ltd.
0.33%
JINDAL STAINLESS LTD
0.63%
Steel Authority Of India Ltd.
0.50%
GMR AIRPORTS LIMITED
0.90%
JSW INFRASTRUCTURE LIMITED
0.23%
Page Industries Ltd
0.80%
K.P.R. Mill Ltd.
0.32%
National Aluminium Company Ltd
0.47%
Hindustan Zinc Ltd.
0.44%
RAIL VIKAS NIGAM LIMITED.
0.56%
IRB INFRASTRUCTURE DEVELOPERS LTD
0.25%
OIL INDIA LIMITED
0.67%
L&T Technology Services Ltd
0.34%
TATA TECHNOLOGIES LTD
0.31%
Container Corporation Of India Ltd.
0.56%
BHARAT DYNAMICS LTD
0.42%
3M India Ltd.
0.25%
Godrej Industries Ltd.
0.16%
United Breweries Ltd.
0.39%
Sun TV Network Ltd.
0.16%
OLA ELECTRIC MOBILITY LIMITED
0.12%
Net Current Assets
0.29%

Risk Ratios

Std. Deviation N/A
Beta N/A
Sharpe Ratio N/A
Lock In Period N/A
Residual Maturity N/A

Standard Deviation:

Standard deviation numbers measure the variability or volatility of a fund's returns over a specific time period (often 3 years).
  • Low standard deviation = Stable, predictable returns → Suitable for conservative investors seeking stability.
  • High standard deviation = High volatility, more risk → Be cautious, suitable for risk-tolerant investors who can handle fluctuations.

Beta:

Beta measures a fund's volatility about the market or a benchmark. A lower beta means the fund's performance is less sensitive to market movements, making it more predictable compared to the market.
  • Low beta = Less sensitive to market changes → Great for investors with less market exposure.
  • High beta = More sensitive to market changes → Better for aggressive investors who seek higher returns but can handle market risks.

Sharpe Ratio:

The Sharpe Ratio measures how much return a fund has made compared to the risk it carries. A higher Sharpe ratio indicates better returns relative to the risk taken, meaning the fund delivers more efficiently.
  • A higher Sharpe ratio indicates better risk-adjusted returns → Look for funds with higher ratios for better return efficiency.
  • Use it to compare different funds' efficiency in generating returns relative to the risk taken.

Lock-In Period:

India's "lock-in period" in mutual funds encourages long-term investment, particularly in tax-saving schemes preventing redemption or selling of units.

Lock-in times for various investment types

  • Most ELSS mutual fund holders hold for 3 years.
  • Tax savings FDs lock in for 5 years.
  • The lock-in period for 8% Government of India bond investment is 6 years.
  • ULIPs must be locked in for 5 years.
  • The average hedge fund holding period is 30-90 days.
  • The average PPF investor holds onto their money for 15 years.

Residual Maturity:

Residual maturity is the remaining time until a security reaches its maturity date. It is an important factor for investors to consider when evaluating the risk associated with an investment.

There are two different types of residual maturity.

  • Short-term residual maturity: This occurs when a security has less than a year left on its maturity.
  • Long-term residual maturity: This occurs when a security has more than a year left on its remaining maturity.

Scheme Details

Min. SIP Amount
N/A
Min. Lumpsum Amount
N/A
AUM (in Cr.)
N/A
Expense Ratio Regular
0.1
Expense Ratio Direct
N/A
Lock-in Period
N/A
Fund Age
N/A
Benchmark
N/A
Fund managers
Mr. Devender Singhal
Experience
Mr. Satish Dondapati
Experience
Mr. Abhishek Bisen
Experience

Exit load

Entry Load: Nil. Exit Load: Nil.

FAQs

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