Kotak International REIT NAV Dips 0.88% to 11.75 on Aug 27
By Market Desk
Kotak International REIT Overseas Equity Active FoF – Regular Plan saw its NAV fall 0.88% to 11.75 on August 27, 2026. Explore diverse investment options.
The Kotak International REIT Overseas Equity Active FoF – Regular Plan registered a Net Asset Value (NAV) of 11.75 as of August 27, 2026. This valuation reflects a daily change of -0.88% for the fund.
Key Fund Metrics
- NAV (August 27, 2026): 11.75
- Daily Change: -0.88%
Investors in the Kotak International REIT fund have access to both Growth and IDCW (Income Distribution cum Capital Withdrawal) options. The availability of both regular and direct plans offers enhanced flexibility, catering to different investor preferences and distribution channels.
Historical Performance Insights
The fund’s performance included varied quarterly returns spanning from 2022 to 2026, with periods demonstrating both positive and negative movements, reflecting broader market dynamics over several years. Detailed analysis also covers its best and worst monthly, quarterly, and yearly returns, providing a comprehensive view of its historical volatility across different timeframes. Such granular historical data is essential for investors assessing long-term trends and risk profiles.
Investment Options
Prospective investors can engage with the mutual fund through traditional Lumpsum investments or via Systematic Investment Plans (SIP). These options facilitate different approaches to portfolio building based on individual financial strategies and risk appetites.
This overview highlights the fund’s recent valuation, its structural offerings, and the breadth of its historical performance data available for investor review, crucial for informed decision-making.