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Mutual fund screener

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17 funds, page 1 of 1. Growth option only.

FundCategoryNAV3M6M1Y3Y CAGR5Y CAGRSharpeVol 1YExp. ratioAUM (Cr)Rank 1Y
Axis Innovation Fund
Axis Mutual Fund
Sectoral/Thematic 22.67 7.64% 24.08% 13.29% 17.84% 11.54% 0.87 14.6% 1.33% 139 37/250
Axis India Manufacturing Fund
Axis Mutual Fund
Sectoral/Thematic 16.22 3.18% 17.71% 12.87% — — — 15.5% 0.92% 578 40/250
Axis Small Cap Fund
Axis Mutual Fund
Small Cap 132.52 1.11% 19.85% 8.99% 14.71% 15.43% 0.58 14.9% 0.71% 15,792 18/36
Axis Multicap Fund
Axis Mutual Fund
Multi Cap 20.15 2.08% 17.29% 7.81% 18.29% — 0.82 14.9% 1.01% 1,468 7/32
Axis Value Fund
Axis Mutual Fund
Value 20.63 -0.10% 11.21% 5.31% 16.57% 15.38% 0.74 13.9% 0.93% 433 4/23
Axis Midcap Fund
Axis Mutual Fund
Mid Cap 136.74 -2.27% 12.02% 4.61% 15.07% 12.35% 0.60 14.5% 0.84% 11,247 16/33
Axis Large & Mid Cap Fund
Axis Mutual Fund
Large & Mid Cap 37.21 -2.41% 11.41% 3.59% 13.98% 11.40% 0.59 13.9% 0.83% 3,288 5/35
Axis Flexi Cap Fund
Axis Mutual Fund
Flexi Cap 30.24 -1.34% 14.03% 2.96% 12.84% 8.30% 0.48 14.6% 0.85% 2,140 13/46
Axis Business Cycles Fund
Axis Mutual Fund
Sectoral/Thematic 17.21 -1.21% 11.68% 1.65% 12.22% — 0.41 15.2% 1.60% 94 109/250
Axis Quant Fund
Axis Mutual Fund
Sectoral/Thematic 16.20 -6.52% 5.74% -2.11% 7.49% 8.17% 0.10 15.6% 2.71% 147 150/250
Axis Focused Fund
Axis Mutual Fund
Focused 61.46 -2.18% 11.24% -2.24% 8.71% 3.28% 0.19 14.3% 1.05% 2,570 17/28
Axis ELSS- Tax Saver Fund
Axis Mutual Fund
ELSS 104.81 -3.57% 7.26% -2.80% 9.28% 4.94% 0.24 14.2% 1.05% 9,362 22/43
Axis Momentum Fund
Axis Mutual Fund
Sectoral/Thematic 8.74 -2.78% 3.92% -3.53% — — — 16.0% 2.39% 62 160/250
Axis Large Cap Fund
Axis Mutual Fund
Large Cap 65.82 -4.39% 4.29% -4.95% 7.70% 5.00% 0.13 13.4% 0.93% 11,702 17/34
Axis ESG Integration Strategy Fund
Axis Mutual Fund
Sectoral/Thematic 21.45 -5.09% 3.72% -5.46% 7.71% 4.95% 0.14 12.4% 1.83% 91 180/250
Axis Services Opportunities Fund
Axis Mutual Fund
Sectoral/Thematic 9.26 -7.12% 8.18% -6.18% — — — 15.1% 0.91% 49 186/250
Axis Consumption Fund
Axis Mutual Fund
Sectoral/Thematic 8.84 -5.96% 4.99% -9.61% — — — 14.4% 0.87% 193 213/250

Returns are computed by Tradinity from each scheme's own published NAV, so they are net of the fund's expenses. Periods over one year are annualised (CAGR). Past performance does not indicate future returns. Only Growth-option schemes are ranked: an IDCW scheme pays cash out of its NAV, so its NAV understates what an investor earned.