The fund follows a multi-asset strategy that helps investors avoid the trap of over investing in one asset class. Therefore reducing the overall risk and volatility.
This fund is ideal for people who want to have a balanced approach to portfolio management.
Given that the money is diversified across different asset classes, it reduces the impact of bad performance from a single asset class through performance from the other 2 asset classes.
Tax efficient.
Investment Objective
The investment objective of the scheme is to provide capital appreciation and income distribution to the investors by using equity and equity related instruments, arbitrage opportunities, and investments in debt and money market instruments. However, there is no assurance or guarantee that the investment objective of the Scheme will be achieved. The Scheme does not assure or guarantee any returns.
Entry Load, Exit Load & Tax
If redeemed/switch out within 1 month from the date of allotment
For 10% of investment
Nil
For remaining investment
1%
If redeemed/switch out after 1 month
From the date of allotment
Nil
Tax implication
Minimum Investment
This product is suitable for investors who are seeking*
Capital appreciation while generating income over medium to long term.
Provide capital appreciation and income distribution to the investors by using equity and equity related instruments, arbitrage opportunities, and investments in debt and money market instruments
*Investors should consult their financial advisers if in doubt about whether the product is suitable for them
Performance of Axis Equity Savings Fund - Regular Growth as of February 28, 2026
NIFTY Equity Savings Index
Current Value of Rs.10,000 Invested
Annualised(%)
NIFTY Equity Savings Index Benchmark(%)
NIFTY 10 yr Benchmark G-Sec Additional Benchmark(%)
Annualised(₹)
NIFTY Equity Savings Index Benchmark(₹)
NIFTY 10 yr Benchmark G-Sec Additional Benchmark(₹)
Since Inception 2015-08-14
8.04%
8.78%
6.48%
22,600
24,290
19,397
5 Years
8.39%
8.87%
5.64%
14,967
15,303
13,158
3 Years
10.48%
10.29%
8.22%
13,484
13,414
12,676
1 Year
8.89%
10.21%
6.05%
10,886
11,018
10,603
Performance of SIP
SIP Investments
Total Amount Invested
Market Value (As on 2026-02-27)
Returns (Annualised)
Benchmark Returns (Annualised)
Additional Benchmark Returns (Annualised)
Benchmark Market Value
Additional Benchmark Market Value
Since Inception 14 Aug 2015
12,60,000
20,02,898.49
8.53%
9.18%
6.13%
20,76,180.60
17,54,332.33
5 Years
6,00,000
7,32,962.14
7.96%
8.60%
6.70%
7,44,714.17
7,10,136.58
3 Years
3,60,000
4,02,688.89
7.45%
8.25%
7.06%
4,07,466.63
4,00,396.60
1 Year
1,20,000
1,22,952.57
4.66%
6.05%
3.38%
1,23,820.89
1,22,145.80
Updated as on: February 28, 2026
Fund Quants
CAGR (3Y)
10.48%
Benchmark Returns (3Y)
10.29%
NAV
22.02As on Mar 16, 2026
Risk
Moderately High
AUM (In Cr.)
₹ 901.88As on Feb 28, 2026(in Cr.)
Expense Ratio
2.29%As on Mar 16, 2026
Worth of investments (3Y) ₹10,000 Monthly SIP grown to
₹ 4,02,665.78
Beta
1.13
Standard Deviation
4.89%
Sharpe Ratio**
1.09
Average Maturity
3.32 years
Modified Duration
2.53 years
Mac D
2.64 years
Portfolio Yield (Yield to Maturity&)- Monthly
6.87%
Updated as on: As of February 28, 2026
Portfolio
Asset Cap Mix
Equity74.32%
InvIT0.38%
Debt/Cash25.3%
Portfolio Summary
No. of stocks
10
Top 10 Stocks (%)
32.17%
Top 5 Stocks (%)
18.84%
Top 3 Stocks (%)
12.12%
Market Cap
Small Cap14.46%
Mid Cap9.39%
Large Cap76.16%
Holdings
Stocks
% of holdings
7.18% GOI (MD 14/08/2033)
4.58
7.1% GOI (MD 08/04/2034)
3.99
Bank Nifty Index
3.55
Muthoot Finance Limited
3.37
Shriram Finance Limited
3.35
ICICI Bank Limited
3.08
Axis Money Market Fund - Direct Plan - Growth Option
2.81
HDFC Bank Limited
2.8
Reliance Industries Limited
2.72
Bharti Airtel Limited
1.92
Updated as on: February 28, 2026
IDCW
Record Date
Option
IDCW (Per Unit)
NAV (Per Unit)
Individuals/HUF
Others
Cum IDCW
Ex- IDCW
2026-02-25
Monthly Dividend
0.09
0.09
11.48
11.39
2026-01-27
Monthly Dividend
0.09
0.09
11.47
11.38
2025-12-26
Monthly Dividend
0.09
0.09
11.66
11.57
2025-12-26
Quarterly Dividend
0.27
0.27
12.26
11.99
2025-09-25
Quarterly Dividend
0.27
0.27
12.23
11.96
2025-06-25
Quarterly Dividend
0.27
0.27
12.49
12.22
2025-03-11
Dividend
1.08
1.08
13.12
12.04
2024-02-08
Dividend
1.15
1.15
13.57
12.42
2024-01-05
Dividend
N/A
N/A
N/A
N/A
Outlook
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Axis Equity Savings Fund - PPT
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Axis Equity Savings Fund - Leaflet - Regular
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KIM and Application Form - Axis Equity Savings Fund
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Statutory Details: Axis Mutual Fund has been established as a Trust under the Indian Trusts Act, 1882, sponsored by Axis Bank Ltd. (liability restricted to Rs.1 lakh).Trustee: Axis Mutual Fund Trustee Ltd. Investment Manager: Axis Asset Management Co. Ltd. (the AMC).Risk Factors: Axis Bank Ltd. is not liable or responsible for any loss or shortfall resulting from the operation of the scheme. Past performance may or may not be sustained in future. Please consult your financial advisor before investing.