NAV History
| Date | NAV (₹) | Change |
|---|---|---|
| 24-09-2026 | 9.4120 | -0.1430 (-1.50%) |
| 23-09-2026 | 9.5550 | +0.0570 (+0.60%) |
| 22-09-2026 | 9.4980 | -0.0310 (-0.33%) |
| 21-09-2026 | 9.5290 | +0.0050 (+0.05%) |
| 18-09-2026 | 9.5240 | +0.0590 (+0.62%) |
| 17-09-2026 | 9.4650 | +0.0400 (+0.42%) |
| 16-09-2026 | 9.4250 | +0.0000 (+0.00%) |
| 15-09-2026 | 9.4250 | -0.1830 (-1.90%) |
| 11-09-2026 | 9.6080 | -0.0320 (-0.33%) |
| 10-09-2026 | 9.6400 | +0.0100 (+0.10%) |
| 09-09-2026 | 9.6300 | -0.0480 (-0.50%) |
| 08-09-2026 | 9.6780 | -0.0290 (-0.30%) |
| 07-09-2026 | 9.7070 | -0.0200 (-0.21%) |
| 04-09-2026 | 9.7270 | -0.0140 (-0.14%) |
| 03-09-2026 | 9.7410 | +0.0230 (+0.24%) |
| 02-09-2026 | 9.7180 | -0.0370 (-0.38%) |
| 01-09-2026 | 9.7550 | -0.0990 (-1.00%) |
| 31-08-2026 | 9.8540 | +0.0060 (+0.06%) |
| 28-08-2026 | 9.8480 | +0.0080 (+0.08%) |
| 27-08-2026 | 9.8400 | -0.0290 (-0.29%) |
| 26-08-2026 | 9.8690 | -0.0460 (-0.46%) |
| 25-08-2026 | 9.9150 | +0.0540 (+0.55%) |
| 24-08-2026 | 9.8610 | -0.0160 (-0.16%) |
| 21-08-2026 | 9.8770 | +0.0010 (+0.01%) |
| 20-08-2026 | 9.8760 | +0.0360 (+0.37%) |
| 19-08-2026 | 9.8400 | -0.0370 (-0.37%) |
| 18-08-2026 | 9.8770 | -0.0340 (-0.34%) |
| 17-08-2026 | 9.9110 | -0.0100 (-0.10%) |
| 14-08-2026 | 9.9210 | -0.0210 (-0.21%) |
| 13-08-2026 | 9.9420 | +0.0080 (+0.08%) |
| 12-08-2026 | 9.9340 | +0.0040 (+0.04%) |
| 11-08-2026 | 9.9300 | -0.0530 (-0.53%) |
| 10-08-2026 | 9.9830 | +0.0040 (+0.04%) |
| 07-08-2026 | 9.9790 | -0.0050 (-0.05%) |
| 06-08-2026 | 9.9840 | -0.0030 (-0.03%) |
| 05-08-2026 | 9.9870 | +0.0070 (+0.07%) |
| 04-08-2026 | 9.9800 | -0.0540 (-0.54%) |
| 03-08-2026 | 10.0340 | +0.1070 (+1.08%) |
| 31-07-2026 | 9.9270 | +0.0570 (+0.58%) |
| 30-07-2026 | 9.8700 | +0.0350 (+0.36%) |
| 29-07-2026 | 9.8350 | +0.0820 (+0.84%) |
| 28-07-2026 | 9.7530 | -0.0170 (-0.17%) |
| 27-07-2026 | 9.7700 | +0.0850 (+0.88%) |
| 24-07-2026 | 9.6850 | -0.0110 (-0.11%) |
| 23-07-2026 | 9.6960 | -0.0700 (-0.72%) |
| 22-07-2026 | 9.7660 | -0.0780 (-0.79%) |
| 21-07-2026 | 9.8440 | +0.0150 (+0.15%) |
| 20-07-2026 | 9.8290 | +0.0250 (+0.25%) |
| 17-07-2026 | 9.8040 | +0.0650 (+0.67%) |
| 16-07-2026 | 9.7390 | -0.0200 (-0.20%) |
| 15-07-2026 | 9.7590 | +0.0220 (+0.23%) |
| 14-07-2026 | 9.7370 | -0.0700 (-0.71%) |
| 13-07-2026 | 9.8070 | +0.0090 (+0.09%) |
| 10-07-2026 | 9.7980 | +0.1060 (+1.09%) |
| 09-07-2026 | 9.6920 | +0.0470 (+0.49%) |
| 08-07-2026 | 9.6450 | -0.1950 (-1.98%) |
| 07-07-2026 | 9.8400 | -0.0190 (-0.19%) |
| 06-07-2026 | 9.8590 | +0.0560 (+0.57%) |
| 03-07-2026 | 9.8030 | +0.0330 (+0.34%) |
| 02-07-2026 | 9.7700 | +0.0540 (+0.56%) |
Kotak Dividend Yield Fund - Direct - Growth is a mutual fund scheme offered by Kotak Mahindra Mutual Fund. It is classified under the Equity Scheme - Dividend Yield Fund category by SEBI. As a Direct Growth plan, it has a lower expense ratio than its Regular counterpart, with all gains reinvested for compounding. The latest NAV is ₹9.41200 as on 24-09-2026. Dividend Yield funds invest in stocks that offer high dividend yields. These companies are typically mature, cash-rich businesses with stable earnings. Such funds provide a combination of capital appreciation and regular dividend income, offering relatively lower volatility. Past performance does not guarantee future results. Please consult a SEBI-registered financial advisor before investing.