Kotak Nifty Commodities Index Fund - Direct Plan - Growth

Other Scheme - Index Funds

  • Direct Plan
  • Growth Option
  • ISIN: INF174KA1VE0
  • Scheme Code: 153353
Latest NAV ₹12.37 As of 26 Aug 2026
1-Day Change +0.10% Based on NAV movement
3-Year Return +14.31% Annualised CAGR
Category Other Scheme - Index Funds Fund classification

NAV Performance

NAV history

Fund Returns

Period Start NAV Latest NAV Absolute Return CAGR / Annualised
1M 24 Jul 2026 ₹12.22 ₹12.37 +1.25% +14.77%
3M 26 May 2026 ₹12.97 ₹12.37 -4.63% -17.14%
6M 26 Feb 2026 ₹12.55 ₹12.37 -1.45% -2.90%
1Y 26 Aug 2025 ₹10.84 ₹12.37 +14.10% +14.11%
3Y 18 Mar 2025 ₹10.21 ₹12.37 +21.23% +14.31%
5Y 18 Mar 2025 ₹10.21 ₹12.37 +21.23% +14.31%
10Y 18 Mar 2025 ₹10.21 ₹12.37 +21.23% +14.31%
ALL 18 Mar 2025 ₹10.21 ₹12.37 +21.23% +14.31%

Returns and Rankings

Name 1Y 3Y 5Y 10Y ALL
Fund returns +14.11% +14.31% +14.31% +14.31% +14.31%

Scheme Information

Scheme Name
Kotak Nifty Commodities Index Fund - Direct Plan - Growth
Scheme Code
153353
Fund House
Kotak Mahindra Mutual Fund
Category
Other Scheme - Index Funds
ISIN (Growth)
INF174KA1VE0
Risk
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