Ranked On: 31 December 2024

Fund Name BMSMONEY Rank Rating 1Y (R) 3Y (R) 5Y (R) 7Y (R) 10Y (R) 1Y (D) 3Y (D) 5Y (D) 7Y (D) 10Y (D) Std. Dev. Max Drawdown VaR 1Y 95% Jensen's Alpha Beta Sortino Ratio Sharpe Ratio
Axis Banking & Psu Debt … 13.0
7.47% 5.96% 6.11% 6.95% 7.26% 7.77% 6.27% 6.42% 7.26% 7.53% 0.86% -0.15% 0.00% % -0.34 -1.07
Axis Corporate Debt Fund 6.0
7.97% 6.22% 6.70% 6.78% % 8.59% 6.91% 7.41% 7.54% % 1.07% -0.60% -0.08% % -0.22 -0.66
Axis Credit Risk Fund 7.0
7.96% 6.38% 6.61% 6.20% 6.76% 8.75% 7.24% 7.57% 7.26% 7.89% 0.95% -0.57% 0.00% % -0.18 -0.56
Axis Dynamic Bond Fund 14.0
8.08% 5.95% 6.57% 7.11% 7.21% 8.36% 6.32% 6.97% 7.64% 7.92% 2.36% -2.48% -2.53% % -0.16 -0.48
Axis Floater Fund 1.0
8.73% 6.87% % % % 9.11% 7.26% % % % 1.65% -0.32% -0.77% % 0.02 0.05
Axis Gilt Fund 1.0
9.34% 6.39% 6.84% 7.33% 7.11% 9.69% 6.91% 7.39% 7.87% 7.66% 2.11% -0.97% -1.54% % -0.08 -0.21
Axis Liquid Fund 2.0
7.36% 6.49% 5.38% 5.84% 6.34% 7.45% 6.57% 5.46% 5.92% 6.42% 0.38% 0.00% 0.00% % -0.34 -1.16
Axis Treasury Advantage … 3.0
7.60% 6.38% 6.01% 6.59% 6.93% 7.94% 6.73% 6.35% 6.96% 7.33% 0.58% -0.11% 0.00% % -0.28 -0.90
Axis Strategic Bond Fund 2.0
8.49% 6.62% 7.03% 6.99% 7.33% 9.18% 7.35% 7.77% 7.73% 8.13% 1.33% -0.86% -0.61% % -0.08 -0.24
Axis Money Market Fund 4.0
7.69% 6.65% 5.96% % % 7.85% 6.82% 6.13% % % 0.50% 0.00% 0.00% % -0.18 -0.56
Axis Overnight Fund 2.0
6.71% 6.07% 4.92% % % 6.75% 6.12% 4.98% % % 0.33% 0.00% 0.00% % -0.60 -2.57
Axis Short Term Fund 5.0
7.89% 6.20% 6.37% 6.86% 7.12% 8.44% 6.84% 7.05% 7.55% 7.84% 1.01% -0.49% 0.00% % -0.23 -0.71
Axis Ultra Short Term Fu… 14.0
6.95% 5.93% 5.21% % % 7.83% 6.84% 6.13% % % 0.47% 0.00% 0.00% % -0.53 -2.04
Axis Elss Tax Saver Fund 33.0
14.40% 5.53% 12.29% 11.31% 11.55% 15.25% 6.36% 13.20% 12.25% 12.57% 15.89% -22.25% -23.69% -7.10% 1.05 0.05 0.04
Axis Flexi Cap Fund 19.0
17.51% 7.23% 13.98% 13.71% % 18.69% 8.39% 15.34% 15.20% % 13.69% -19.57% -19.78% -4.26% 0.94 0.11 0.19
Axis Focused Fund 22.0
10.96% 2.20% 10.04% 9.55% 11.38% 11.98% 3.21% 11.21% 10.77% 12.67% 15.69% -21.97% -23.72% -8.20% 1.09 -0.03 -0.15
Axis Bluechip Fund 27.0
10.71% 5.32% 11.55% 12.04% 11.03% 11.70% 6.35% 12.75% 13.32% 12.29% 13.36% -16.95% -16.25% -3.99% 0.99 0.04 0.04
Axis Midcap Fund 14.0
23.53% 13.65% 20.94% 17.43% 15.28% 24.83% 14.94% 22.42% 18.86% 16.67% 14.06% -15.75% -16.48% -2.15% 0.78 0.34 0.64
Axis Multicap Fund 2.0
25.20% 18.85% % % % 26.56% 20.44% % % % 13.67% -14.71% -14.42% 5.12% 0.89 0.51 0.95
Axis Quant Fund
7.31% 9.99% % % % 8.95% 11.73% % % % 13.44% -15.62% -15.11% -0.46% 0.93 0.21 0.40
Axis Small Cap Fund 6.0
17.66% 16.56% 25.02% 19.53% 18.07% 18.93% 17.99% 26.77% 21.13% 19.57% 12.39% -11.19% -15.17% 8.21% 0.57 0.51 0.94
Axis Value Fund 1.0
22.93% 18.45% % % % 24.58% 20.12% % % % 14.30% -14.91% -16.03% 6.77% 1.00 0.49 0.91
Axis Equity Hybrid Fund 25.0
13.84% 5.71% 11.17% % % 15.06% 6.96% 12.58% % % 11.17% -14.44% -13.27% % 0.03 0.02
Axis Arbitrage Fund 9.0
7.34% 6.29% 5.33% 5.51% 5.79% 8.02% 7.03% 6.08% 6.28% 6.60% 0.61% -0.09% 0.00% % -0.33 -1.10
Axis Regular Saver Fund 16.0
7.28% 4.87% 7.82% 6.34% 6.58% 8.69% 6.28% 9.16% 7.60% 7.91% 4.15% -4.88% -5.55% % -0.13 -0.37
Axis Balanced Advantage … 3.0
15.63% 10.80% 11.68% 9.67% % 17.03% 12.22% 13.10% 11.16% % 7.94% -7.91% -8.07% % 0.29 0.57
Axis Equity Saver Fund 11.0
9.32% 7.28% 9.42% 8.76% % 10.69% 8.68% 10.87% 10.14% % 5.83% -6.96% -6.83% % 0.09 0.19
Axis Multi Asset Allocat…
15.22% 5.26% 11.47% 10.49% 9.42% 16.30% 6.56% 13.00% 11.91% 10.75% 10.23% -14.55% -13.29% % 0.01 -0.02
Axis Nifty 100 Index Fund 28.0
9.80% 9.02% 13.98% % % 10.45% 9.84% 14.87% % % 13.38% -10.61% -14.12% -0.54% 0.90 0.16 0.30
Axis Nifty 50 Index Fund 32.0
8.42% 8.99% % % % 8.67% 9.29% % % % 12.73% -9.98% -14.06% -0.51% 0.99 0.17 0.30
Axis Nifty Healthcare Etf 3.0
29.74% 17.65% % % % % % % % % 16.37% -15.72% -18.62% % 0.38 0.71
Axis Nifty India Consump… 16.0
16.17% 15.84% % % % % % % % % 14.83% -11.38% -11.74% % 0.37 0.69
Axis Nifty 50 Etf 39.0
8.82% 9.47% -27.68% -18.81% % % % % % % 12.77% -9.76% -13.79% -0.04% 1.00 0.19 0.34
Axis Nifty Bank Etf 56.0
6.10% 8.99% % % % % % % % % 14.52% -11.54% -17.08% % 0.21 0.36
Axis Nifty It Etf 62.0
16.22% 4.67% % % % % % % % % 21.07% -30.01% -28.86% % 0.01 -0.07
Axis Nifty Aaa Bond Plus… 84.0
7.66% 5.83% % % % % % % % % 1.84% -2.68% -2.37% % -0.21 -0.68
Axis Children Gift Fund 9.0
13.30% 4.50% 11.12% 9.82% % 14.75% 5.97% 12.65% 11.39% % 10.71% -15.66% -13.11% % -0.01 -0.09
Axis Retirement Savings … 9.0
20.06% 9.60% 13.51% % % 21.66% 11.33% 15.43% % % 11.86% -14.80% -15.20% % 0.19 0.35
Axis Retirement Savings … 15.0
15.96% 7.91% 11.55% % % 17.52% 9.52% 13.31% % % 11.88% -16.28% -16.16% % 0.11 0.19
Axis Retirement Savings … 23.0
9.23% 5.93% 8.74% % % 10.73% 7.57% 10.51% % % 5.87% -6.97% -6.54% % -0.01 -0.06

Return Calculated On: 17 January 2025

Ratios Calculated On: 31 December 2024

Amc Name Started On Address Phone Number Website
Axis Mutual Fund None

Axis Asset Management Co. LimitedAxis House, First Floor, C-2 Wadia International Centre
Pandurang Budhkar Marg Worli
Mumbai 400013
Maharashtra

None
None
Axis Mutual Fund