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BACK
Fund Profile
AXIS Value Fund - Direct (G)
Summary Info
Fund Name
Axis Mutual Fund
Scheme Name
AXIS Value Fund - Direct (G)
AMC
Axis Mutual Fund
Type
Open
Category
Value Fund
Launch Date
02-Sep-21
Fund Manager
Nitin Arora
Net Assets (
)
815.71
NAV Graph
One Month
Three Months
Six Months
One Year
Three Years
Five Years
Latest Payouts
Dividends
Bonus
No payout data available.
Performance
(%)
1 Week
[%]
1 Months
[%]
6 Months
[%]
1 Year
[%]
3 Years
[%]
5 Years
[%]
Since
INC[%]
Scheme Return
0.61
2.76
0.28
-4.45
11.43
22.84
0.00
18.09
Holdings
Company Name
Hold %
HDFC Bank
7.96
ICICI Bank
6.42
Reliance Industr
4.99
Infosys
3.44
Bharti Airtel
3.43
NTPC
2.94
St Bk of India
2.80
Larsen & Toubro
2.40
Sun Pharma.Inds.
2.26
Minda Corp
2.05
M & M
1.92
UltraTech Cem.
1.83
Premier Energies
1.79
Anant Raj
1.68
HDFC Life Insur.
1.53
Bajaj Finserv
1.50
Bharat Electron
1.50
ITC
1.42
Fortis Health.
1.42
Granules India
1.41
Varun Beverages
1.36
PG Electroplast
1.06
CG Power & Ind
1.05
Tech Mahindra
1.05
Cipla
0.98
Krishna Institu.
0.89
INDIA SHELTE FIN
0.89
eClerx Services
0.84
J B Chemicals &
0.81
AWFIS Space
0.81
Power Grid Corpn
0.80
TVS Motor Co.
0.79
B P C L
0.76
Jindal Steel
0.74
Federal Bank
0.74
Brigade Enterpr.
0.73
Vijaya Diagnost.
0.72
GPT Healthcare
0.72
Ceigall India
0.71
Tata Motors
0.68
Lupin
0.65
Firstsour.Solu.
0.64
Bajaj Auto
0.63
Ajanta Pharma
0.62
Cholaman.Inv.&Fn
0.61
Jyoti CNC Auto.
0.61
GE Vernova T&D
0.60
Kross Ltd
0.60
Indian Bank
0.59
United Spirits
0.58
Chalet Hotels
0.58
Torrent Pharma.
0.58
Life Insurance
0.57
Hindalco Inds.
0.56
Hind.Aeronautics
0.52
Multi Comm. Exc.
0.51
OneSource Speci.
0.48
Tata Power Co.
0.47
Samvardh. Mothe.
0.46
PNB Housing
0.45
TCS
0.44
Uno Minda
0.44
Cummins India
0.44
O N G C
0.41
Jupiter Life Lin
0.38
Prestige Estates
0.37
Ambuja Cements
0.37
Berger Paints
0.37
Arvind Fashions.
0.36
REC Ltd
0.29
P N Gadgil Jewe.
0.28
Wipro
0.27
Sansera Enginee.
0.23
Apar Inds.
0.19
Tata Steel
0.18
Hind. Unilever
0.16
Godrej Propert.
0.08
ITC Hotels
0.05
C C I
11.60
Net CA & Others
0.02