The latest Net Asset Value (NAV) of Axis Multicap Fund Direct-Growth as of 02/12/2024 is ₹18.53. The fund has an expense ratio of 0.71%, which is higher than what most other Multi Cap funds charge. Axis Multicap Fund Direct-Growth returns of last 1-year are 41.29%. Since launch,...
The current Net Asset Value (NAV) of the Axis Strategic Bond Fund - Direct Growth plan is approximately ₹26.69 as of Dec 27, 2024. How do I invest in Axis Strategic Bond Fund? Axis Strategic Bond Fund Regular-Growth is the regular plan of the fund. For this plan of you pay 1.06%...
Explore Best Axis Mutual Fund in 2025 schemes, NAV, Portfolio Details & Returns at MySIPonline. Invest online with ease at India's fastest growing investment platform, MySIPonline.
0.59% Expense Ratio Plan Growth 0.88% Cash Holding Benchmark NIFTY Large Midcap 250 Total Return Index Scheme Document View Sectors Holding in this Mutual Fund as on 30 Nov 2024 Sort By Value Sector Financial 16.02% ₹2,243.51 Cr Capital Goods 13.24% ₹1,854.79 Cr Services 12.54% ₹...
Axis Mid Cap FundDirect - GrowthNAVas on 02 Jan 2025 131.31 Very High Since Inception5Y3Y1Y Annualised Return 36.35 Benchmark Return 34.04 Returns as on 30 November 2024 10,000 investment grown to 93,075 You are investing in Lumpsum ...
Axis Mid Cap FundDirect - GrowthNAVas on 09 Jan 2025 126.64 Very High Since Inception5Y3Y1Y Annualised Return 36.35 Benchmark Return 34.04 Returns as on 30 November 2024 10,000 investment grown to 93,075 You are investing in Lumpsum ...
Axis Mutual Fund - Know about best Axis funds, historical returns, NAV, ratings & statements. Get complete data on fund managers and scheme details for Axis MF 2024.
It also provides the latest NAV, NAV history, latest content. It offers a platform to invest in multiple mutual fund categories like Large Cap funds, Tax Saving ELSS fund, Debt funds, Liquid funds, Small Cap funds, Hybrid funds, Mid & Large Cap funds and other special situation funds. It...
On the other hand, the units in an open-ended scheme can be purchased and sold as and when the investor needs to. This also means that entering and exiting the scheme is not limited to the tenure of the fund, and the units are bought and sold on the Net Asset Value (NAV). ...
Axis Mid Cap FundDirect - GrowthNAVas on 09 Jan 2025 126.64 Very High Since Inception5Y3Y1Y Annualised Return 36.35 Benchmark Return 34.04 Returns as on 30 November 2024 10,000 investment grown to 93,075 You are investing in Lumpsum ...