Portfolio as on May 2026 · 30 equity positions
Kotak Nifty 100 Low Volatility 30 ETF is a ETF scheme managed by Kotak MF Mutual Fund. As of disclosures dated May 2026, the scheme holds 30 equity positions with an estimated equity AUM of ₹₹195 Cr. The portfolio is anchored by its top conviction bet on HDFC Bank, which commands a weight of 4.19%of the fund's total assets.
From a sector allocation perspective, the fund managers have concentrated their largest bet on Banks, representing 14.44% of the equity portfolio. This is followed by Pharmaceuticals & Biotechnology (13.34%) and IT - Software (10.21%). Under SEBI's guidelines and based on its underlying assets, this scheme carries a Very High Risk risk classification.
Chart will appear once NAV history has been loaded from AMFI (next monthly ingestion run).
Top 10 holdings make up 37.9% of the portfolio · top 5 = 19.7%.
Equity holdings only, ISIN-verified, from Kotak Mahindra Mutual Fund's public monthly portfolio disclosure (May 2026). Not investment advice.
Weight = the position as a % of this fund's portfolio. Values in ₹: L = Lakh (1,00,000), Cr = Crore (1,00,00,000).