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Axis Midcap Fund-Reg(G)

  • Equity - Mid Cap Fund
  • ₹ 63.69
  • 0.28%
  • 10.98%
  • 5 Yrs
  • ₹ 5,000.00
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Scheme Details

  • Aum AUM ₹ 515,650.45 Cr
  • Card Expense Ratio 1.87% on 02 Aug 2021
  • exit Exit Load 1%
  • padlock Lock In No lock in
  • spaceship Inception Date 18 Feb 2011
  • spaceship Benchmark NIFTY 50 - TRI, S&P BSE Mid-Cap, S&P BSE Mid-Cap - TRI

Fund Analysis

Axis Mutual Fund introduces Axis MidCap Fund

Axis MF to introduce auto switch facility from Treasury Advantage Fund to Midcap Fund

Investment Return Calculator

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Comparison With Other Schemes

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Latest Assets & Portfolio Allocation

  • Equity
  • Debt
  • Others
Top Stock Holdings
Cholamandalam Investment and Finance Company Ltd. 4.32%
Voltas Ltd. 3.82%
Coforge Ltd. 3.65%
Astral Ltd. 3.64%
See all holdings
Allocation by Market Cap
Allocation by Sector

Riskometer

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Investors understand that their principal will be at Moderately High risk

Axis Midcap Fund-Reg(G)

Investment Objective

NA

Performance Ratio
  • Std. Dev: 17.54
  • AVGR: 0.13
  • Beta: 0.66
  • Sharpe: 1.06
  • Sortino: 0.19
  • Jenson: 0.11
  • Treynor: 0.29
  • Turnover: 23.00
  • FAMA: 0.13
Fund Manager

Shreyash Devalkar , Hitesh Das

AMC Details

Axis Asset Management Company Ltd.

Registrar & Transfer Agent

KFIN Technologies Private Limited

Disclaimer: Past results and performance does not mean that the future performance will be the same. Investor is expected to make his own checks and independent evaluations on the suitability of the products and DSPL or its employees shall not bear any direct or indirect responsibility for the same. These are algo generated outputs based on data sourced from third party vendors. Hence, the accuracy of these details is not reconfirmed or guaranteed by DSPL.