
π¦ Axis Mutual Fund Schemes: Overview
This article highlights top-performing Axis Mutual Fund schemes, analyzing their returns, strategies, and risk metrics. Axis Mutual Fund, a subsidiary of Axis Bank, is one of Indiaβs fastest-growing asset managers, managing over βΉ3.22 lakh crore in Assets Under Management (AUM) as of March 2025. π
It offers a wide range of equity, debt, and hybrid funds, focusing on disciplined investing, diversification, and long-term wealth creation. ππ‘
This article highlights top-performing Axis Mutual Fund equity schemes, analyzing their returns, strategies, and risk metrics. π
π Key Axis Mutual Fund Schemes & Performance (as 10/5/2025)
Here’s a detailed list of Axis Mutual Fund equity schemes along with their returns across different timeframes:
π¦ Mutual Fund Scheme | π 1-Year Return | π 3-Year Return | π 5-Year Return | π Since Inception Return |
---|---|---|---|---|
Axis Multicap Fund – DIRECT | 14.86% | 19.95% | β NA | 17.56% |
Axis Mid Cap Fund – DIRECT | 12.54% | 15.85% | 27.03% | 19.18% |
Axis Small Cap Fund – DIRECT | 12.18% | 17.30% | 33.45% | 23.57% |
Axis ELSS Tax Saver Fund – DIRECT | 7.15% | 10.39% | 19.48% | 16.96% |
Axis Flexi Cap Fund – DIRECT | 9.99% | 10.83% | 20.10% | 14.38% |
Axis Value Fund – DIRECT | 13.59% | 21.56% | β NA | 18.00% |
Axis Growth Opportunities Fund – DIRECT | 8.17% | 14.30% | 27.47% | 20.14% |
Axis Bluechip Fund – DIRECT | 5.55% | 9.58% | 18.35% | 14.75% |
Axis Focused Fund – DIRECT | 4.93% | 6.85% | 18.14% | 14.12% |
Axis Innovation Fund – DIRECT | 7.72% | 10.91% | β NA | 14.17% |
Axis ESG Integration Strategy Fund – DIRECT | 5.64% | 10.51% | 18.98% | 16.14% |
Axis Quant Fund – DIRECT | -2.63% | 12.23% | β NA | 12.56% |
Axis Business Cycles Fund – DIRECT | 7.65% | β NA | β NA | 23.14% |
Axis India Manufacturing Fund – DIRECT | 9.18% | β NA | β NA | 20.88% |
1οΈβ£ Axis Mutual Fund: Multicap Fund π
- Category: Multi-Cap Equity
- Benchmark: Nifty 500 Multicap 50:25:25 TRI
- Strategy: Balanced investment across large-cap, mid-cap, and small-cap stocks π‘
- β Pros: Strong diversification, consistent performance
- β οΈ Cons: May underperform in extreme market fluctuations
2οΈβ£ Axis Mutual Fund: Mid Cap Fund π
- Category: Mid-Cap Equity
- Benchmark: BSE Midcap 150 TRI
- Strategy: Focuses on high-growth mid-cap companies π
- β Pros: Diversified and stable returns
- β οΈ Cons: Can lag behind high-growth funds in bullish markets
3οΈβ£ Axis Mutual Fund: Small Cap Fund π°
- Category: Small-Cap Equity
- Benchmark: Nifty Smallcap 250 TRI
- Strategy: Targets high-growth small-cap companies
- β Pros: Potential for high returns
- β οΈ Cons: Higher risk exposure due to market volatility
4οΈβ£ Axis ELSS Tax Saver Fund π¦
- Category: Equity Linked Savings Scheme (ELSS)
- Lock-in Period: 3 years (Tax benefits under Section 80C)
- Strategy: Focuses on long-term wealth creation with tax efficiency π°
- β Pros: Dual advantage of tax savings + investment growth
- β οΈ Cons: May underperform compared to other high-risk growth funds
5οΈβ£ Axis Mutual Fund: Bluechip Fund π
- Category: Large-Cap Equity
- Benchmark: Nifty 100 TRI
- Strategy: Invests in stable, established companies
- β Pros: Lower risk and strong track record
- β οΈ Cons: Limited exposure to small/mid-cap growth stocks
6οΈβ£ Axis Mutual Fund: Focused Fund π―
- Category: Focused Equity
- Strategy: High-conviction portfolio of top 25 stocks
- β Pros: Strategic selection of market leaders
- β οΈ Cons: Higher risk due to concentrated exposure
7οΈβ£ Axis Mutual Fund: Flexi Cap Fund π
- Category: Flexi Cap Equity
- Benchmark: NIFTY 500 TRI
- AUM: βΉ12,039.75 crore
- NAV (Regular Plan): βΉ24.70 (May 2025)
- Expense Ratio: Regular Plan – 1.73%, Direct Plan – 0.72%
- Minimum Investment: βΉ100 (SIP & lump sum)
Performance Highlights
- 1 Year: 8.52%
- 3 Years: 13.94% (vs. category average: 16.68%)
- 5 Years: 18.28% (vs. category average: 23.28%)
Risk & Suitability
β Best for long-term investors (5+ years horizon) π°οΈ
β Provides diversified exposure across market caps
β Direct plan has lower expense ratio
π¨ Underperformance alert: Returns lag behind top competitors like Parag Parikh Flexi Cap Fund (27.74% 5Y returns) and HDFC Flexi Cap Fund (31.36% 5Y returns).
A. Top 5 Axis Mutual Fund Schemes as per 1-Year Return
- Axis Multicap Fund β DIRECT β 14.86%
- Axis Value Fund β DIRECT β 13.59%
- Axis Mid Cap Fund β DIRECT β 12.54%
- Axis Small Cap Fund β DIRECT β 12.18%
- Axis Growth Opportunities Fund β DIRECT β 8.17%
B. Top 5 Axis Mutual Fund Schemes as per 3-Year Return
- Axis Value Fund β DIRECT β 21.56%
- Axis Multicap Fund β DIRECT β 19.95%
- Axis Small Cap Fund β DIRECT β 17.30%
- Axis Mid Cap Fund β DIRECT β 15.85%
- Axis Growth Opportunities Fund β DIRECT β 14.30%
C. Top 5 Axis Mutual Fund Schemes as per 5-Year Return
- Axis Small Cap Fund β DIRECT β 33.45%
- Axis Growth Opportunities Fund β DIRECT β 27.47%
- Axis Mid Cap Fund β DIRECT β 27.03%
- Axis Flexi Cap Fund β DIRECT β 20.10%
- Axis ELSS Tax Saver Fund β DIRECT β 19.48%
π― Conclusion
Axis Mutual Fund offers a variety of equity schemes suited for different investment strategies ππ°:
β Multicap & Flexi Cap Funds β Best for diversified investments π
β Mid & Small Cap Funds β Ideal for high-risk, high-growth portfolios π
β ELSS & Bluechip Funds β Great for tax benefits and stability π¦
β Focused Funds β Suitable for targeted stock selection π―
π’ Axis Flexi Cap Fund & Axis Focused Fund provide broad market exposure but come with specific risks. Investors should assess risk tolerance, investment horizon, and consult financial advisors before making investment decisions
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