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  1. HomeHome
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  4. /Kotak Active Momentum FundKotak Active Momentum Fund
  5. /Dir GDir G

Kotak Active Momentum Fund

NAV as on Sep 15, 2026 ₹ 10.773   ₹ -0.25(-2.29)%
CAGR info2_img inception 7.19%

Return Calculator

If you had invested ₹ on via
and stayed invested till it would have become ₹1,077 i.e. CAGR of 7.20%

Portfolio

As on Aug 31, 2026

  • SECTOR ALLOCATION
  • STOCKS
SectorPortfolio weight
Electrical Equipment
11.6 %
Banks
9.78 %
Automobiles
7.39 %
Finance
7.34 %
Pharmaceuticals and Biotechnology
6.56 %
Auto Components
5.63 %
Chemicals and Petrochemicals
4.7 %
Non - Ferrous Metals
4.64 %
Consumer Durables
4.23 %
Healthcare Services
4.11 %

Detail Holdings

Market Capitalisation

Type%
Mid Cap
56.95 %
Large Cap
37.33 %
Debt And_Money_Market
3.56 %
Small Cap
2.16 %

Performance

as per SEBI format
Historical Returns
CAGRValue of ₹ 10,000 invested
Since Inception10Y5Y3Y1Y6 M3 M1 M15 Days7 DaysSince Inception10Y5Y3Y1Y6 M3 M1 M15 Days7 Days
Kotak Active Momentum Fund - Direct (G)7.20%---6.59%11.85%2.33%-5.22%-5.10%-3.34%10,773.00---10,658.9511,184.5910,232.719,478.279,489.969,666.22
Tier 1 - Nifty 500 TRI-1.82%----2.30%5.76%-1.38%-4.70%-4.13%-2.72%9,804.7333,557.30--9,770.0110,576.039,862.319,529.809,587.309,728.19

As on Aug 31, 2026

Rolling Returns
 1 Year
Average----11.57
Maximum---- 13.81
Minimum---- 6.59
% times +ve returns0.000.000.000.00100
% times returns > 0.000.000.000.0094.44

The returns are of Direct Growth Plan. Returns are calculated since inception with daily rolling frequency for the respective periods.

NAV Movement

imgDownload

The Net Asset Value ("NAV") movement graph, shows the movement of NAVs of various available Plans/Options of Kotak Active Momentum Fund("Scheme") and the movement of the Index Price, since the Inception of the Scheme/Plan/Option. For the Scheme the details provided here in are of Direct Plan- Growth Option.

SWP Calculator

If you had invested ₹
on
and had withdrawn ₹
per
Starting from
To
IconHeader
SWP Calculator
Scheme Name : Kotak Active Momentum Fund - Direct Plan Growth
NAV DateNAVUnitsCash FlowScheme Value
Historical Returns (as per SEBI format) as on    31 August 2026
TenorsCAGRCurrent Value of ₹ 10,000 invested
Since Inception5Y3Y1Y6 MSince Inception5Y3Y1Y6 M
Kotak Active Momentum Fund - Direct (G)7.20%--6.59%11.85%10,773.00--10,658.9511,184.59
Nifty 500 TRI-1.82%---2.30%5.76%9,804.73--9,770.0110,576.03
Graph
Fund
Graph
Tier 1 Benchmark
This scheme is suitable for investors who are seeking *
  1. Long term capital growth
  2. Investment in portfolio of predominantly in equity and equity related securities exhibiting momentum characteristics.
*Investors should consult their financial advisors if in doubt about whether the product is suitable for them
The above riskometer is based on the scheme portfolio as on 31 August 2026 . An addendum may be issued or updated on the website for new riskometer.
Start Date of the Investment is considered as 1st of Every Month. Exit Load, Stamp Duty & STT are ignored for ease of calculation. Data Source: We have considered NAV Direct Plan Growth Option for the above scheme, Past Performance may or may not be sustained in the future. In view of the individual nature of tax consequences, each unit holder is advised to consult their tax advisors. All figures and other data given in this document are as of 31 August 2026. The same may or may not be relevant at a future date. The AMC takes no responsibility for updating any data/information in this material from time to time. The information shall not be altered in any way, transmitted to, copied, or distributed, in part or in whole, to any other person or to the media or reproduced in any form, without the prior written consent of Kotak Mahindra Asset Management Company Limited. Kotak Mahindra Asset Management Company Limited (including its affiliates), the Mutual Fund, The Trust and any of its officers, directors, personnel, and employees shall not be liable for any loss, damage of any nature, including but not limited to direct, indirect, punitive, special, exemplary, consequential, as well as any loss of profit, in any way arising from the use of this material in any manner. Further, the information contained herein should not be construed as a forecast or promise. The recipient alone shall be fully responsible/liable for any decision taken based on this material.
Mutual fund investments are subject to market risks, read all scheme related documents carefully.

Details

Benchmark
  • Tier 1 - Nifty 500 TRI
AUM: ₹ 1,659 Cr. As on 31-Aug-2026
Allotment date: August 20, 2025
AAUM: ₹ 1,657 Cr. As on 31-Aug-2026
Fund Managers
Mr. Rohit Tandon See All Funds Managed
Mr. Abhishek Bisen See All Funds Managed

Key Ratios

as on 31-Aug-2026
Portfolio turnover ratio
262.19%
Expense Ratio **
0.82

Source: *ICRA MFI Explorer     ## Risk rate assumed to be % (FBIL Overnight MIBOR rate as on NA)     **Expense Ratio includes BER plus GST thereon.

Source: *ICRA MFI Explorer

## Risk rate assumed to be %

(FBIL Overnight MIBOR rate as on NA)

**Expense Ratio includes BER plus GST thereon.

Available Plans/Options

Direct Plan/Regular PlanOptions: Payout of IDCW, Reinvestment of IDCW & Growth (applicable for all plans)

Minimum Investment Amount

Initial Investment: Rs. 500/- (Subject to a minimum of 10 SIP installments of Rs. 500/- each)
Additional Investment: Rs. 1000/- and any amount thereafter
Ideal Investments Horizon: 5 years And above

Load Structure

Entry Load: NIL
Exit Load: For redemption / switch out within 90 days from the date of allotment:0.5% If units are redeemed or switched out on or after 90 days from the date of allotment -Nil. Note : The exit load levied will be calculated basis the exit load rate prevalent at the time of unit allotment.
Graph
Fund
Graph
Tier 1 Benchmark
This scheme is suitable for investors who are seeking *
  1. Long term capital growth
  2. Investment in portfolio of predominantly in equity and equity related securities exhibiting momentum characteristics.
*Investors should consult their financial advisors if in doubt about whether the product is suitable for them

About the Kotak Active Momentum Fund

  • Kotak Active Momentum Fund is an open-ended thematic equity scheme aiming for long term capital growth by investing in companies exhibiting momentum characteristics. It uses Kotak AMC’s proprietary Enhanced Earnings Factor Model, a data-driven and rule-based approach designed with the aim of generating superior risk-adjusted returns compared to benchmark.

Scheme Category & Type

  • Equity Schemes –Thematic Fund An open-ended equity scheme following momentum theme

Investment Objective

  • The scheme shall seek to generate long term capital appreciation by investing predominantly in equity and equity related securities selected based on momentum theme, following an in-house model i.e. enhanced earnings factor model. However, there is no assurance that the objective of the scheme will be achieved.

Why Kotak Active Momentum Fund ?

  • Invests in companies showing strong and consistent earnings growth, aiming to capture improving profitability trends.
  • Spreads investments across sectors and market cap to reduce concentration risk
  • The scheme will follow a factor-based investing approach with the aim of generating superior risk-adjusted returns compared to the benchmark.

Documents

Kotak Active Momentum Fund_A4 Leaflet.pdfKotak Active Momentum Fund_A4 Leaflet.pdfDownload Download
KIMKOTAKACTIVEMOMENTUMFUND.pdfKIMKOTAKACTIVEMOMENTUMFUND.pdfDownload Download
SIDkotak active momentum fund.pdfSIDkotak active momentum fund.pdfDownload Download
Kotak Active Momentum Fund_Factsheet One Pager.pdfKotak Active Momentum Fund_Factsheet One Pager.pdfDownload Download

Frequently Asked Questions

What kind of companies does Kotak Active Momentum Fund invest in?

The fund invests in equity and equity-related securities of companies exhibiting momentum characteristics, which are firms showing consistent and improving earnings performance across sectors and market caps.

What are the key features of Kotak Active Momentum Fund?

1.Earnings Momentum Focus - Invests in companies with strong and improving earnings trends. 2.Factor Based Strategy - Uses an in-house quantitative model to identify high momentum stocks based on earnings data. 3.Dynamic Portfolio - Actively adjusts holdings as earnings momentum shifts across sectors or companies. 4.Research Backed Approach - Driven by data and systematic analysis to reduce emotional bias in decision making.

Who should invest in Kotak Active Momentum Fund?

1.Investors seeking long-term capital appreciation through a disciplined, factor-based equity strategy 2.Investors with a high risk appetite who can withstand short-term market volatility. 3.Investors looking to diversify their core portfolio with momentum-based equity exposure.

What is the minimum SIP and lump sum investment for Kotak Active Momentum Fund?

Minimum Application Amount/switch in Initial Purchase/Switch in - Rs. 5000/- and any amount thereafter. SIP Purchase - Rs. 500/- (Subject to a minimum of 10 SIP instalments of Rs. 500/- each). Minimum Additional Purchase Amount - Rs. 1000/- and any amount thereafter

What is the exit load for Kotak Active Momentum Fund?

1.For redemption / switch out within 90 days from the date of allotment - 0.5%. 2.If units are redeemed or switched out on or after 90 days from the date of allotment – Nil.

What is the current NAV of Kotak Active Momentum Fund Direct Growth?

As of 15th September 2026, the current Kotak Active Momentum Fund NAV is ₹ 10.77.

What kind of returns does Kotak Active Momentum Fund Direct Growth provide?

As of 15th September 2026, Kotak Active Momentum Fund Direct Growth has provided annualized returns of 6.59% in the last 1 year, 7.20% since inception.

What is the AUM of Kotak Active Momentum Fund?

As of 31st August 2026, ₹ 1,659 Cr. is the AUM of Kotak Active Momentum Fund.

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Mutual fund investments are subject to market risks, read all scheme related documents carefully.

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