Scheme Name
NAV
1Y Abs%
5Y CAGR%
Axis Business Cycles Fund
17.32
-0.52
—
NAV 17.321Y -0.525Y —
Axis Children's Fund
29.86
1.30
14.17
NAV 29.861Y 1.305Y 14.17
Axis Consumption Fund
10.05
—
—
NAV 10.051Y —5Y —
Axis CRISIL-IBX AAA Bond NBFC - Jun 2027 Index Fund
10.87
—
—
NAV 10.871Y —5Y —
Axis ESG Integration Strategy Fund
23.13
-4.34
16.09
NAV 23.131Y -4.345Y 16.09
Axis Global Equity Alpha FoF Fund
22.19
28.09
—
NAV 22.191Y 28.095Y —
Axis Global Innovation FoF Fund
16.26
23.41
—
NAV 16.261Y 23.415Y —
Axis India Manufacturing Fund
14.70
-1.08
—
NAV 14.701Y -1.085Y —
Axis Multicap Fund
19.12
0.74
—
NAV 19.121Y 0.745Y —
Axis Nifty Smallcap 50 Index Fund
18.66
-7.13
—
NAV 18.661Y -7.135Y —
Axis Nifty500 Momentum 50 Index Fund
10.84
—
—
NAV 10.841Y —5Y —
Axis Overnight Fund
1386.12
6.21
5.30
NAV 1386.121Y 6.215Y 5.30
Axis Retirement Fund
21.73
-1.41
16.26
NAV 21.731Y -1.415Y 16.26
Axis Services Opportunities Fund
10.13
—
—
NAV 10.131Y —5Y —
Axis Services Opportunities Fund
10.13
—
—
NAV 10.131Y —5Y —
Axis Short Duration Fund
34.24
9.05
6.78
NAV 34.241Y 9.055Y 6.78