AXIS Multi-Asset Active FoF - Regular Growth
-
NAV
10.60
06 Jul 2026
-
0.29%
1 Day
-
₹ 100
Min SIP -
₹ 100
Min Lumpsum -
1.31%
Expense Ratio -
1,376 Cr
Fund Size -
0 Years
Fund Age
SIP Calculator
- Invested Amount
- ₹ 00
- Wealth Gained
- ₹ 00
- Expected Amount
- ₹ 00
- Invested Amount
- ₹ 00
- Wealth Gained
- ₹ 00
- Expected Amount
- ₹ 00
Returns and Ranks ( as on 06 Jul 2026 )
- 1Y Returns
- 3Y Returns
- 5Y Returns
- MAX Returns
- Trailing Returns
- 5.66
- 18.85Alpha
- 4.89SD
- 0.69Beta
- 0.09Sharpe
- Exit Load
- a). If redeemed / switched-out within 12 months from the date of allotment: For 10% of investment: Nil For remaining investment: 1% b). If redeemed/switched out after 12 months from the date of allotment: Nil
- Tax implication
- Returns are taxed as per your Income Tax slab.
moderate moderate Moderately
High High Very
High
- Fund Name
-
- Other
- FoFs Domestic
- Fund Size (Cr.) - ₹ 407
-
- Other
- FoFs Domestic
- Fund Size (Cr.) - ₹ 2,448
-
- Other
- FoFs Domestic
- Fund Size (Cr.) - ₹ 9,091
-
- Other
- FoFs Domestic
- Fund Size (Cr.) - ₹ 224
-
- Other
- FoFs Domestic
- Fund Size (Cr.) - ₹ 28,241
- Fund Name
-
- Other
- FoFs Domestic
- AUM - ₹ 1,288
-
AXIS Gold Fund Growth
- 32.98
-
- Other
- FoFs Domestic
- AUM - ₹ 3,092
-
- Other
- FoFs Overseas
- AUM - ₹ 231
-
- Other
- FoFs Overseas
- AUM - ₹ 943
-
- Other
- Index Fund
- AUM - ₹ 639
- Address :
- One Lodha Place. 22nd & 23rd Floor, Senapati Bapat Marg, Lower Par el, Maharashtra, Mumbai - 400013.
-
- Contact :
- +91022-43255161
-
- Email ID :
- customerserivce@axismf.com
Large Cap
- Fund Name
Quant Large Cap Fund Growth
- 14.30%
-
- Equity
- Large Cap Mutual Funds
- Fund Size (Cr.) - 3,281
-
- Equity
- Large Cap Mutual Funds
- Fund Size (Cr.) - 1,749
-
- Equity
- Large Cap Mutual Funds
- Fund Size (Cr.) - 213
-
- Equity
- Large Cap Mutual Funds
- Fund Size (Cr.) - 51,660
-
- Equity
- Large Cap Mutual Funds
- Fund Size (Cr.) - 76,297
Mid Cap
Multi Cap
ELSS
Focused
Sectoral / Thematic
Small Cap
Dividend Yield
Ultra Short Duration
Liquid Mutual
Gilt Mutual
Long Duration
Overnight Mutual
Floater Mutual
Arbitrage Mutual
Equity Savings Mutual
Aggressive Hybrid Mutual
Other Calculators
FAQs
AXIS Multi-Asset Active FoF - Regular Growth has delivered 3.60% since inception
The NAV of AXIS Multi-Asset Active FoF - Regular Growth is ₹10.4208 as of 06 Jul 2026
The expense ratio of AXIS Multi-Asset Active FoF - Regular Growth is 1.31 % as of 06 Jul 2026
The AUM of AXIS Multi-Asset Active FoF - Regular Growth 1374.42 CR as of 06 Jul 2026
The minimum SIP amount of AXIS Multi-Asset Active FoF - Regular Growth is 100
The top stock holdings of AXIS Multi-Asset Active FoF - Regular Growth are
The top sectors AXIS Multi-Asset Active FoF - Regular Growth has invested in are
- - 0%






