Kotak Mahindra Mutual FundFund of Funds (Commodity)Direct plan, growth
Kotak Gold Silver Passive FOF
- NAV
- ₹15.09
- —11 Sept 2026
- AUM (₹ Cr)
- 1,067
- Average, April - June 2026
- Expense ratio
- 0.19%
- Regular 0.53%
- Risk
- Very High
- SEBI riskometer
- 3Y CAGR
- —
- Category 40.2%
- 5Y CAGR
- —
- Category 25.7%
Loading NAV history…
Kotak Gold Silver Passive FOF
Calendar-year returns
Fund only: no comparison series covers this fund's history.
Risk statistics
Five years of daily NAVs. Risk-free rate 6.5% a year.
- Standard deviation
- —
- Maximum drawdown
- —
- Sharpe ratio
- —
- Sortino ratio
- —
- Beta
- —
- Alpha
- —
- R²
- —
- Information ratio
- —
- Upside capture
- —
- Downside capture
- —
- Tracking error
- —
Portfolio
Fund details
- Fund house
- Kotak Mahindra Mutual Fund
- Category
- Commodity · Fund of Funds (Commodity)
- SEBI classification
- Other / FoFs (Overseas/Domestic)
- Benchmark
- Domestic Gold and Silver Prices
- Launch date
- 4 Nov 2025 (0.9 years)
- Structure
- Open Ended · FoF
- Plans and options
- Direct Growth, Regular Growth
- Fund manager
- Rohit Tandon
- Minimum SIP
- ₹100
- Minimum lumpsum
- ₹100 (then ₹100)
- Exit load
- None
- Lock-in
- None
- Riskometer
- Very High (benchmark Very High)
- Expense ratio as of
- 7 Sept 2026
- AUM period
- April - June 2026
- ISIN, Direct Growth
- INF174KA1XT4
- ISIN, Regular Growth
- INF174KA1XU2
- Scheme code
- 153921, 153922
NAV and returns as of 11 Sept 2026; returns are for the direct plan, growth option, before entry or exit costs. Not investment advice.
Other fund of funds (commodity) funds
Other funds in the Fund of Funds (Commodity) category.
- Kotak Silver ETF Fund of FundKotak Mahindra Mutual Fund · ₹982 Cr · ER 0.28%
- LIC MF Gold ETF Fund of FundLIC Mutual Fund · ₹794 Cr · ER 0.35%
- DSP Silver ETF Fund of FundDSP Mutual Fund · ₹738 Cr · ER 0.59%
- UTI Silver ETF Fund of FundUTI Mutual Fund · ₹621 Cr · ER 0.14%
- Axis Gold and Silver Passive FOFAxis Mutual Fund · ₹560 Cr · ER 0.12%
- Mirae Asset Gold ETF Fund of FundMirae Asset Mutual Fund · ₹523 Cr · ER 0.10%