
Axis Value Fund Direct Growth
equity
RETURNS (5 YEARS)
-
RETURNS (5 YEARS)
-
NAV
₹18.89
Sub-Type
value contra
Rating
- Overview
- Holdings
- Manager
Returns
Timeframe
Fund(%)
1M
0.63%
3M
9.59%
6M
-2.20%
1Y
6.95%
3Y
30.12%
5Y
-
Fund Essentials
-
22 Jan 2021
Fund Started
-
₹921.06 Cr
AUM Fund Size
-
0.84%
Expense Ratio
-
₹1000
Min SIP Amount
-
Very High
Fund Risk
-
1.0% if redeemed within 0-12 months
0% if redeemed after 12 months
Exit Load
Top 10 Holdings
- 7.95%
- 6.28%
- 4.93%
- 3.7%
- 3.25%
- 2.79%
- 2.43%
- 2.23%
- 1.99%
- 1.86%
-
Nitin Arora
Manager
-
Krishnaa N
Manager