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Axis Quant Fund-Reg(G)

Scheme Returns

5.44%

Category Returns

-0.93%

Riskometer

  • Low
  • Low to moderate
  • Moderate
  • Moderately High
  • High
  • Very High

NAV Chart

Trailing Returns

1 Day 1 week 1 Mth 3 Mth 1 Yrs 3 Yrs 4 Yrs 5 Yrs Since Inception
Axis Quant Fund-Reg(G) 0.96 5.51 5.44 -4.35 -3.28 10.53 0.00 0.00 10.76
Equity - Thematic Fund - Other 2.96 11.15 -0.93 -6.06 5.06 14.30 15.54 22.43 9.65

* Equity - Returns upto 1 year are absolute and over 1 year are CAGR.

* Debt - Returns upto 1 year are annualized and over 1 year are CAGR.

  • AMC

    Axis Asset Management Company Ltd.

  • Fund

    Axis Mutual Fund

Snapshot

  • Inception Date

    01-Jul-2021

  • Initial Price

    ₹10

  • Entry Load

    --

  • Size of Fund(in Cr.)

    97,177.90

  • Scheme Plan

    --

  • Scheme Class

    Equity - Thematic Fund - Other

  • Objectives

    To generate long-term capital appreciation by investing primarily in equity and equity relatedinstruments selected based on a quantitative model.

  • Scheme Type

    Open ended scheme

  • Min. Investment

    ₹100

  • Exit Load

    --

  • Latest NAV

    14.98

  • Fund Manager

    Mr. Karthik Kumar

  • Fund Manager Profile

    --

  • Fund Information

  • AMC

    Axis Asset Management Company Ltd.

  • Address

    One Lodha Place, 22 & 23 Floor, Senapati Bapat Marg, Lower Parel Mumbai - 400 013

  • Phone

    022-43255161

  • Fax

    022-43255199

  • Email

    customerservice@axismf.com

  • Website

    www.axismf.com

  • Registrar Agent

  • Registrar

    KFin Technologies Limited

  • Address

    Selenium Building, Tower-B, Plot No 31 & 32 Financial District,Nanakramguda, Serilingampally Hyderabad - 500 032

  • Phone

    (040) 23312454 23320751 23320752

  • Fax

    (040) 23311968

  • Email

    customercare@karvy.com

  • Website

    https://mfs.kfintech.com/

Portfolio Details

Allocation
Equity : 96.73
Others : 3.27

Companies - Holding Percentage

Company Market Value hold percentage
ICICI Bank Limited 8998.16 9.57
Bharti Airtel Limited 6113.2 6.5
Kotak Mahindra Bank Limited 4587.05 4.88
HDFC Bank Limited 4385.39 4.66
HCL Technologies Limited 3998.07 4.25
Lupin Limited 3393.47 3.61
Sun Pharmaceutical Industries Limited 3136.6 3.34
Bajaj Auto Limited 3097.65 3.29
Wipro Limited 2950.58 3.14
Tech Mahindra Limited 2950.24 3.14
ICICI Lombard General Insurance Company Limited 2872.36 3.05
United Spirits Limited 2827.12 3.01
Divi's Laboratories Limited 2824.54 3
Clearing Corporation of India Ltd 2719.02 2.89
Muthoot Finance Limited 2434.28 2.59
Page Industries Limited 2377.61 2.53
Mahindra & Mahindra Limited 2354.35 2.5
Tata Consultancy Services Limited 2089.44 2.22
Coromandel International Limited 1924.24 2.05
GE Vernova T&D India Limited 1796.82 1.91
Karur Vysya Bank Limited 1756.67 1.87
SBFC Finance Limited 1690.69 1.8
Sumitomo Chemical India Limited 1528.46 1.63
Marico Limited 1516.17 1.61
Infosys Limited 1410.95 1.5
BSE Limited 1380.53 1.47
Petronet LNG Limited 1352.81 1.44
HDFC Asset Management Company Limited 1332.82 1.42
Info Edge (India) Limited 1245.04 1.32
UTI Asset Management Company Limited 1240.76 1.32
Prudent Corporate Advisory Services Limited 1068.85 1.14
Doms Industries Limited 1058.11 1.13
Avalon Technologies Limited 1050.97 1.12
The Indian Hotels Company Limited 948.97 1.01
Aditya Birla Sun Life AMC Limited 892.21 0.95
UPL Limited 885.47 0.94
Reliance Industries Limited 854.88 0.91
Glenmark Pharmaceuticals Limited 788.52 0.84
Bajaj Finance Limited 772.01 0.82
360 One WAM Limited 690.75 0.73
City Union Bank Limited 549.11 0.58
Embassy Office Parks REIT 542.09 0.58
MedPlus Health Services Limited 487.98 0.52
Larsen & Toubro Limited 477.96 0.51
Coal India Limited 455.27 0.48
National Aluminium Company Limited 424.58 0.45
Rategain Travel Technologies Limited 2.08 0
Net Receivables / (Payables) -184.08 -0.2

Sectors - Holding Percentage

Sector hold percentage
Bank 21.56%
Finance 15.7%
IT 15.57%
Healthcare 11.3%
Telecom 6.5%
Automobile & Ancillaries 5.8%
Chemicals 4.61%
Insurance 3.05%
Alcohol 3.01%
FMCG 2.74%
Textile 2.53%
Capital Goods 1.91%
Inds. Gases & Fuels 1.44%
Electricals 1.12%
Hospitality 1.01%
Crude Oil 0.91%
Infrastructure 0.51%
Mining 0.48%
Non - Ferrous Metals 0.45%

Divident Details

Scheme Name Date Dividend (%)
No Data Found

Alternative Funds From Category

Scheme Name Asset Size 1M 3M 6M 1Y 3Y
Franklin India Opportunities Fund - Growth 681.73 8.22 -3.06 -7.59 13.16 27.12
HSBC Business Cycles Fund - Regular Growth 566.37 9.77 -2.54 -11.28 11.82 19.69
Union Innovation & Opportunities Fund - Regular Plan - Growth Option 491.32 6 -8.8 -13.58 11.07 0
360 ONE QUANT FUND REGULAR GROWTH 59.83 8.12 1.27 -8 9.86 20.86
Samco Active Momentum Fund - Regular Plan - Growth Option 411.94 -0.07 -8.07 -5.49 8.68 0
Nippon India Quant Fund -Growth Plan - Growth Option 36.31 6.69 1.88 -5.32 8.58 18.22
Quantum ESG Best In Class Strategy Fund - DIRECT PLAN - GROWTH OPTION 63.08 5.82 -2.02 -7.96 8.03 12.09
Kotak Pioneer Fund- Regular Plan- Growth Option 1627.66 4.27 -5.7 -9.92 7.84 16.03
Canara Robeco Manufacturing Fund - Regular Plan - Growth Option 1123.4 4.98 -6.72 -15.5 6 0
Axis Innovation Fund - Regular Plan - Growth Option 1359.02 3.21 -6.01 -12.08 5.95 10.12

Other Funds From - Axis Quant Fund-Reg(G)

Scheme Name Asset Size 1M 3M 6M 1Y 3Y
Axis Liquid Fund - Regular Plan - Growth Option 43033.62 8.82 7.62 7.35 7.33 6.84
Axis Liquid Fund - Regular Plan - Growth Option 42866.63 8.82 7.62 7.35 7.33 6.84
Axis ELSS Tax Saver Fund - Regular Plan - Growth 39252.74 6.86 2.25 -4.85 8.02 9.83
Axis ELSS Tax Saver Fund - Regular Plan - Growth 38422.94 6.86 2.25 -4.85 8.02 9.83
Axis ELSS Tax Saver Fund - Regular Plan - Growth 38278.4 6.86 2.25 -4.85 8.02 9.83
Axis ELSS Tax Saver Fund - Regular Plan - Growth 37106.3 6.86 2.25 -4.85 8.02 9.83
Axis ELSS Tax Saver Fund - Regular Plan - Growth 36533.13 6.86 2.25 -4.85 8.02 9.83
Axis Liquid Fund - Regular Plan - Growth Option 36518.03 8.82 7.62 7.35 7.33 6.84
Axis ELSS Tax Saver Fund - Regular Plan - Growth 36373.17 6.86 2.25 -4.85 8.02 9.83
Axis Bluechip Fund - Regular Plan - Growth 36108.58 6.27 3.3 -2.79 7.65 9.35