Axis Equity Hybrid Fund Direct-IDCW Monthly Reinvestment

NAV

₹17.6400

as on 19 Sep 2024, 11:41 PM

₹-0.0100(0.06%)

Last Change

Scheme Information

Axis Equity Hybrid Fund Direct-IDCW Monthly Reinvestment

as of 31 Aug 2024, 05:30 AM

₹1,690.58 Cr

1.05%

0.61%

Scheme Asset Size
Expense Ratio
Cash Holding
Fund Type

Open-End

Plan

Growth

Exit Load

Exit Load for units in excess of 10% of the investment,1% will be charged for redemption within 12 months.

Benchmark

CRISIL Hybrid 35+65 Aggressive Index

Scheme Document

View

Sectors Holding in this Mutual Fund

Financial

19.56%

₹330.68 Cr

Technology

8.16%

₹137.95 Cr

Energy

7.04%

₹119.02 Cr

Automobile

6.81%

₹115.13 Cr

Healthcare

6.81%

₹115.13 Cr

Others

51.62%

₹872.68 Cr

Financial

19.56%

₹330.68 Cr

Technology

8.16%

₹137.95 Cr

Energy

7.04%

₹119.02 Cr

Automobile

6.81%

₹115.13 Cr

Healthcare

6.81%

₹115.13 Cr

Others

51.62%

₹872.68 Cr

GOI

8.95%

₹151.31 Cr

HDFC Bank Ltd.

6.15%

₹103.97 Cr

ICICI Bank Ltd.

5.71%

₹96.53 Cr

Infosys Ltd.

3.28%

₹55.45 Cr

Reliance Industries Ltd.

3.16%

₹53.42 Cr

Others

72.75%

₹1,229.89 Cr

GOI

8.95%

₹151.31 Cr

HDFC Bank Ltd.

6.15%

₹103.97 Cr

ICICI Bank Ltd.

5.71%

₹96.53 Cr

Infosys Ltd.

3.28%

₹55.45 Cr

Reliance Industries Ltd.

3.16%

₹53.42 Cr

Others

72.75%

₹1,229.89 Cr

Funds in this Category

This fund's returns: 10.86%

SBI Magnum Children's Benefit Fund - Investment Plan Direct - Growth

Min. Investment

₹5000

27.86

Category Returns

9.92%

27.86%

3Y Returns

27.86 %

JM Aggressive Hybrid Fund Direct-Growth

Min. Investment

₹100

24.35

Category Returns

9.92%

27.86%

3Y Returns

24.35 %

ICICI Prudential Equity & Debt Fund Direct-Growth

Min. Investment

₹100

23.10

Category Returns

9.92%

27.86%

3Y Returns

23.10 %

About Axis Equity Hybrid Fund Direct-IDCW Monthly Reinvestment

Axis Equity Hybrid Fund Direct-IDCW Monthly Reinvestment scheme return performance in last 1 year is 28.07%, in last 3 years is 36.31% and 124.09% since scheme launch. The min. SIP amount to invest in this scheme is ₹100.

Scheme Details

AUM:1,690.58 Cr
Category:Hybrid: Aggressive Hybrid
Launch Date:Invalid date
Fund Type:Open-End

AMC Information

Axis Mutual Fund

3,15,819.34 Cr
AUM
225
Schemes

Address

Address
Address
23rd Floor, One Lodha Place,S. B. Road, Lower Parel.400013
Phone Number
Phone Number
Phone : 022-24255161
Fax : 022-43255199
Email / Website
Email / Website

Investment Performance

₹ 1,00,000

would have given a return of

₹1,10,871

₹1,21,647

₹1,31,341

₹1,36,308

Bank Account

Fixed Deposit

Regular Mutual Fund

This Fund on Paytm Money

This Mutual Fund

Profit (absolute return)

₹36,308

36.31%

Investment Returns

In the last 3 months
9.25%
In the last 6 months
20.89%
In the last 1 year
28.07%
In the last 3 years
36.31%
In the last 5 years
116.49%
In the last 10 years
116.49%

Scheme Riskometer

Investors understand that their principal will be at very high risk

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