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Kotak Quant Fund Regular Plan Growth Option
Kotak Mutual Fund
Kotak Quant Fund Regular Plan Growth Option
Fund.
Equity
Sectoral / Thematic
High
Performance History
+7.18%
1M
3M
6M
1Y
3Y
Exit Load
Exit load of 0.5%, if redeemed within 90 days
Key Statistics
NAV (as of 28 Aug 2026)
₹15.53
Min. SIP
₹1000
Min. Withdrawal Amount
₹1000
AUM
₹490.27 CR
Expense Ratio
2.42%
Rating
--
Launch Date
12 Jul 2023
Top Holdings
Sun Pharmaceutical Industries Ltd
3.55%
Marico Ltd
3.43%
Nestle India Ltd
3.27%
Lupin Ltd
3.26%
Titan Company Ltd
3.05%
Grasim Industries Ltd
2.95%
JSW Steel Ltd
2.88%
The Federal Bank Ltd
2.84%
Laurus Labs Ltd
2.76%
Coal India Ltd
2.76%
Returns Analysis
Duration
Fund Return
Category Return
1 Month
3.52%
1.83%
3 Month
2.87%
2.47%
6 Month
0.22%
1.22%
1 Year
7.18%
6.89%
3 Year
15.52%
13.03%
5 Year
--
12.49%
10 Year
--
--
Kotak Quant Fund Regular Plan Growth Option
Equity · Sectoral / Thematic · Growth
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