NAV Date: 11-12-2025

Scheme Name NAV Rupee Change Percent Change
Kotak BSE PSU Index Fund - Regular Plan - Growth 8.87
0.0200
0.2400%
Kotak BSE PSU Index Fund - Regular Plan - IDCW Payout and Reinvestment 8.87
0.0200
0.2400%
Kotak BSE PSU Index Fund - Direct Plan - IDCW Payout and Reinvestment 8.95
0.0200
0.2400%
Kotak BSE PSU Index Fund - Direct Plan - Growth 8.95
0.0200
0.2400%

Review Date: 11-12-2025


Investors beware: Mutual Fund investments are subject to market risks. Please read the scheme related documents carefully.

Data Source: www.amfiindia.com

SEBI Categorization


KPIs* Fund Benchmark Cat. Avg Min | Max Rank (In Cat.) Performance
1M Return % -3.81
-0.61
-8.63 | 5.40 126 | 144 Poor
3M Return % 3.79
1.56
-9.44 | 9.47 27 | 144 Very Good
6M Return % -0.58
0.90
-15.11 | 23.76 96 | 144 Average
1Y Return % -1.83
0.37
-20.85 | 25.23 95 | 143 Average
1Y SIP Return % 11.85
7.76
-10.59 | 41.90 66 | 141 Good
Return data last Updated On : Dec. 11, 2025.
Other parameters, fund ranking, non return related analysis are updated after every month end. Last Updated On : Nov. 28, 2025
KPIs: Key Performance Indicators

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KPIs* Fund Benchmark Cat. Avg Min | Max Rank (In Cat.) Performance
1M Return % -3.75 -0.55 -8.59 | 5.46 128 | 146 Poor
3M Return % 3.96 1.70 -9.30 | 9.59 26 | 146 Very Good
6M Return % -0.27 1.15 -14.84 | 24.05 98 | 146 Average
1Y Return % -1.19 0.83 -20.34 | 25.81 96 | 145 Average
1Y SIP Return % 12.56 8.32 -10.44 | 42.55 66 | 143 Good
Return data last Updated On : Dec. 11, 2025.
Other parameters, fund ranking, non return related analysis are updated after every month end. Last Updated On : Nov. 28, 2025
KPIs: Key Performance Indicators

Disclaimer: Past performance may or may not be sustained in future and should not be used as a basis for comparison with other investments. Returns for periods above 1 year are annualised.


Date Kotak Bse Psu Index Fund NAV Regular Growth Kotak Bse Psu Index Fund NAV Direct Growth
11-12-2025 8.872 8.951
10-12-2025 8.851 8.93
09-12-2025 8.871 8.95
08-12-2025 8.82 8.899
05-12-2025 9.025 9.105
04-12-2025 8.97 9.049
03-12-2025 8.955 9.034
02-12-2025 9.098 9.177
01-12-2025 9.132 9.212
28-11-2025 9.128 9.207
27-11-2025 9.157 9.236
26-11-2025 9.197 9.276
25-11-2025 9.095 9.174
24-11-2025 9.067 9.145
21-11-2025 9.157 9.236
20-11-2025 9.262 9.341
19-11-2025 9.279 9.358
18-11-2025 9.276 9.355
17-11-2025 9.316 9.395
14-11-2025 9.254 9.332
13-11-2025 9.198 9.275
12-11-2025 9.237 9.315
11-11-2025 9.223 9.3

Fund Launch Date:
Fund Category: Index Fund
Investment Objective: None
Fund Description: None
Fund Benchmark: None
Source: Fund FactSheet

Disclaimer: NO INVESTMENT ADVICE. The Content is for informational purposes only.