Axis Asset Management Company Ltd.

Axis Multi Asset Allocation Fund - Regular Plan - Growth Option

HybridMulti Asset Allocation
  • Plan: Regular
  • |
  • Type: Open-Ended
  • |
  • Option: Growth
  • 1 yr return8.6%
  • 3 yr return14.3%
  • 5 yr return11.1%
  • Expense Ratio2.04%
  • Lock-in Period--
  • Exit Load1%
  • Fund Size (Cr)Rupees1432.4
  • NAVRupees31.6

Performance Graph

  • Show returns for: 1 yr 3 yrs 5 yrs
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Returns Calculator

  • Show returns for: SIP Lumpsum
  • Monthly SIP (Rupees)
  • Investment years: 1 3 5
  • Amount invested/month: Rupees-
  • Time Period: 1 years
  • Estimated Returns: Rupees0

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Investment Objective

The Scheme Seeks To Generate Long Term Capital Appreciation By Investing In A Diversified Portfolio Of Equity And Equity Related Instruments, Fixed Income Instruments & Gold Exchange Traded Funds.

Tax Implications

Taxation on mutual fund explained : https://zfunds.in/article/taxes-on-mutual-funds

Riskometer

Top Holdings

  • Companies %
  • Axis Gold ETF 13
  • Bajaj Finance Ltd 6.1
  • ICICI Bank Ltd 5.5
  • HDFC Bank Ltd 5.2
  • Avenue Supermarts Ltd 5.1
  • Tata Consultancy Services Ltd 4.7
  • Reliance Industries Ltd 4.2
  • Kotak Mahindra Bank Ltd 3.7
  • Infosys Ltd 3.1
  • PI Industries Ltd 3
  • Larsen & Toubro Ltd 1.9
  • Sectors %
  • Banks19.9
  • ETF Units13
  • Finance11.6
  • Automobiles9.2
  • Internet and Technology7.8

Fund House