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Fund Overview

Fund Size

Fund Size

₹785 Cr

Expense Ratio

Expense Ratio

2.33%

ISIN

ISIN

INF846K013C4

Minimum SIP

Minimum SIP

₹100

Exit Load

Exit Load

1.00%

Inception Date

Inception Date

22 Sep 2021

About this fund

Axis Value Fund Regular Growth is a Value mutual fund schemes offered by Axis Mutual Fund. This fund has been in existence for 3 years and 3 months, having been launched on 22-Sep-21.
As of 20-Dec-24, it has a Net Asset Value (NAV) of ₹18.30, Assets Under Management (AUM) of 785.25 Crores, and an expense ratio of 2.33%.
  • Axis Value Fund Regular Growth has given a CAGR return of 20.47% since inception.
  • The fund's asset allocation comprises around 87.67% in equities, 0.00% in debts, and 12.33% in cash & cash equivalents.
  • You can start investing in Axis Value Fund Regular Growth with a SIP of ₹100 or a Lumpsum investment of ₹100.

Performance against Category Average

In this section, we compare the returns of the scheme with the category average over various periods. Periods for which the fund has outperformed its category average are marked in green, otherwise red.

1 Year

+31.47%

+24.95% (Cat Avg.)

3 Years

+22.56%

+21.57% (Cat Avg.)

Since Inception

+20.47%

(Cat Avg.)

Portfolio Summaryas of 30th November 2024

Equity688.4 Cr87.67%
Others96.85 Cr12.33%

Top Holdings

All Holdings

Equity

Debt & Others

NameType sortAmount sortHoldings sort
Clearing Corporation Of India LtdCash - Repurchase Agreement68 Cr9.07%
HDFC Bank LtdEquity38.71 Cr5.16%
ICICI Bank LtdEquity38.22 Cr5.10%
Infosys LtdEquity24.84 Cr3.31%
Reliance Industries LtdEquity24.63 Cr3.29%
Anant Raj LtdEquity22.52 Cr3.01%
Bharti Airtel LtdEquity20.47 Cr2.73%
NTPC LtdEquity18.72 Cr2.50%
State Bank of IndiaEquity18.48 Cr2.47%
Mahindra & Mahindra LtdEquity17.95 Cr2.40%
Larsen & Toubro LtdEquity17.25 Cr2.30%
Sun Pharmaceuticals Industries LtdEquity16.27 Cr2.17%
Minda Corp LtdEquity15.04 Cr2.01%
Bajaj Finserv LtdEquity11.55 Cr1.54%
Apar Industries LtdEquity11.52 Cr1.54%
Granules India LtdEquity11.06 Cr1.48%
Voltas LtdEquity11 Cr1.47%
Fortis Healthcare LtdEquity10.36 Cr1.38%
Firstsource Solutions LtdEquity9.77 Cr1.30%
Tech Mahindra LtdEquity9.37 Cr1.25%
Bajaj Auto LtdEquity8.49 Cr1.13%
Vijaya Diagnostic Centre LtdEquity8.48 Cr1.13%
UltraTech Cement LtdEquity8 Cr1.07%
The Federal Bank LtdEquity7.99 Cr1.07%
J.B. Chemicals & Pharmaceuticals LtdEquity7.97 Cr1.06%
Ceigall India LtdEquity7.96 Cr1.06%
Bharat Electronics LtdEquity7.85 Cr1.05%
Mrs Bectors Food Specialities Ltd Ordinary SharesEquity7.71 Cr1.03%
Premier Energies LtdEquity7.57 Cr1.01%
Cummins India LtdEquity7.56 Cr1.01%
Jupiter Life Line Hospitals LtdEquity7.46 Cr0.99%
Brigade Enterprises LtdEquity7.2 Cr0.96%
Power Grid Corp Of India LtdEquity7.18 Cr0.96%
TBO Tek LtdEquity7.16 Cr0.96%
Awfis Space Solutions LtdEquity7.03 Cr0.94%
HDFC Life Insurance Co LtdEquity6.93 Cr0.92%
Strides Pharma Science LtdEquity6.88 Cr0.92%
Tata Motors LtdEquity6.87 Cr0.92%
GPT Healthcare LtdEquity6.8 Cr0.91%
ITC LtdEquity6.52 Cr0.87%
Cipla LtdEquity6.5 Cr0.87%
Net Receivables / (Payables)Cash6.46 Cr0.86%
Arvind Fashions LtdEquity6.26 Cr0.83%
Ajanta Pharma LtdEquity6.08 Cr0.81%
India Shelter Finance Corporation LtdEquity5.98 Cr0.80%
Suzlon Energy LtdEquity5.95 Cr0.79%
DLF LtdEquity5.94 Cr0.79%
Jyoti CNC Automation LtdEquity5.77 Cr0.77%
Krishna Institute of Medical Sciences LtdEquity5.75 Cr0.77%
eClerx Services LtdEquity5.72 Cr0.76%
Indian BankEquity5.58 Cr0.74%
Sansera Engineering LtdEquity5.54 Cr0.74%
Multi Commodity Exchange of India LtdEquity5.52 Cr0.74%
Varun Beverages LtdEquity5.52 Cr0.74%
Life Insurance Corporation of IndiaEquity5.4 Cr0.72%
REC LtdEquity5.23 Cr0.70%
Tata Power Co LtdEquity5.11 Cr0.68%
Godrej Properties LtdEquity5.01 Cr0.67%
ICICI Prudential Life Insurance Co LtdEquity4.99 Cr0.67%
Cholamandalam Investment and Finance Co LtdEquity4.96 Cr0.66%
CG Power & Industrial Solutions LtdEquity4.95 Cr0.66%
Kross LtdEquity4.89 Cr0.65%
Coal India LtdEquity4.57 Cr0.61%
Jindal Steel & Power LtdEquity4.39 Cr0.59%
Prestige Estates Projects LtdEquity4.14 Cr0.55%
Bharat Petroleum Corp LtdEquity4.14 Cr0.55%
UNO Minda LtdEquity4.03 Cr0.54%
V-Guard Industries LtdEquity3.99 Cr0.53%
PNB Housing Finance LtdEquity3.98 Cr0.53%
Oil & Natural Gas Corp LtdEquity3.65 Cr0.49%
Samvardhana Motherson International LtdEquity3.51 Cr0.47%
RHI Magnesita India LtdEquity3.31 Cr0.44%
L&T Technology Services LtdEquity3.24 Cr0.43%
Ambuja Cements LtdEquity3.23 Cr0.43%
Berger Paints India LtdEquity3.06 Cr0.41%
Hindustan Unilever LtdEquity3.01 Cr0.40%
Hindalco Industries LtdEquity2.02 Cr0.27%
Crompton Greaves Consumer Electricals LtdEquity2.02 Cr0.27%
Tata Consultancy Services LtdEquity1.72 Cr0.23%
United Spirits LtdEquity1.63 Cr0.22%
Tata Steel LtdEquity1.4 Cr0.19%

Allocation By Market Cap (Equity)

Large Cap Stocks

50.24%

Mid Cap Stocks

12.07%

Small Cap Stocks

22.14%

Other Allocation

Equity Sector

Debt & Others

SectorAmount sortHoldings sort
Financial Services163.52 Cr21.82%
Industrials94.13 Cr12.56%
Healthcare93.61 Cr12.49%
Consumer Cyclical81.77 Cr10.91%
Technology62.23 Cr8.30%
Real Estate44.81 Cr5.98%
Energy36.99 Cr4.93%
Utilities31.01 Cr4.14%
Consumer Defensive24.39 Cr3.25%
Basic Materials22.11 Cr2.95%
Communication Services20.47 Cr2.73%

Risk & Performance Ratios

Standard Deviation

This fund

14.17%

Cat. avg.

13.31%

Lower the better

Sharpe Ratio

This fund

1.07

Cat. avg.

1.07

Higher the better

Sortino Ratio

This fund

--

Cat. avg.

2.03

Higher the better

Fund Managers

Nitin Arora

Nitin Arora

Since May 2023

KN

Krishnaa N

Since March 2024

Additional Scheme Detailsas of 30th November 2024

ISIN
INF846K013C4
Expense Ratio
2.33%
Exit Load
1.00%
Fund Size
₹785 Cr
Age
3 years 3 months
Lumpsum Minimum
₹100
Fund Status
Open Ended Investment Company
Benchmark
Nifty 500 TR INR

Investment ObjectiveInvestment Objective

To seek to generate long-term capital growth from an actively managed portfolio primarily of Equity and Equity Related Securities. Scheme shall invest in Indian equities,foreign equities and related instruments and debt securities.

Tax Treatment

iconCapital Gains Taxation:

iconDividend Taxation:

info icon

Note: As per the Income Tax Budget 2024, mutual funds are subject to capital gains taxation, which includes surcharge and cess based on prevailing income tax rules and the investor’s income. Taxation applies only to realised gains, not notional gains. Please consult your tax advisors to determine the implications or consequences of your investments in such securities.

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Fund nameExpense RatioExit LoadFund size
1Y
Groww Value Fund Regular Growth

Very High Risk

2.3%1.0%₹46.71 Cr15.5%
Groww Value Fund Direct Growth

Very High Risk

0.9%1.0%₹46.71 Cr17.0%
ICICI Prudential Nifty50 Value 20 ETF

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Motilal Oswal S&P BSE Enhanced Value ETF

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Tata Equity P/E Fund Regular Growth

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1.8%1.0%₹8639.72 Cr25.0%
Templeton India Value Fund Regular Growth

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2.0%1.0%₹2199.27 Cr19.4%
Kotak Nifty 50 Value 20 ETF

Very High Risk

0.1%-₹114.21 Cr21.6%
HDFC Capital Builder Value Fund Regular Growth

Very High Risk

1.8%1.0%₹7384.10 Cr24.3%
UTI Value Opportunities Fund Regular Growth

Very High Risk

1.8%1.0%₹10159.11 Cr27.6%
Nippon India Value Fund Regular Growth

Very High Risk

1.9%1.0%₹8535.62 Cr27.7%

About the AMC

Axis Mutual Fund

Axis Mutual Fund

Total AUM

₹3,16,718 Cr

Address

Axis House, 1st Floor, C-2, Wadia International Centre, Mumbai, 400 025

Other Funds by Axis Mutual Fund

Fund nameExpense RatioExit LoadFund size
1Y
Axis Fixed Term Plan Series 120 (91 Days) Direct Growth

Moderate Risk

-0.0%--
Axis US Treasury Dynamic Bond ETF Fund of Fund Direct Growth

Very High Risk

0.1%0.0%₹64.72 Cr-
Axis India Manufacturing Fund Direct Growth

Very High Risk

0.4%1.0%₹6039.84 Cr-
Axis Fixed Term Plan Series 118 100 Days Direct Growth

Moderate Risk

-0.0%--
Axis Fixed Term Plan Series 113 1228 Days Direct Growth

Low to Moderate Risk

-0.0%-7.8%
Axis Fixed Term Plan Series 110 1553 Days Direct Growth

Moderate Risk

-0.0%--
Axis Fixed Term Plan Series 105 1128 Days Direct Growth

Moderate Risk

-0.0%--
Axis Fixed Term Plan Series 112 1143 Days Direct Growth

Low to Moderate Risk

-0.0%-7.7%
Axis Nifty SDL September 2026 Debt Index Fund Direct Growth

Low to Moderate Risk

0.2%0.0%₹75.54 Cr8.2%
Axis Banking & PSU Debt Fund Direct Growth

Moderate Risk

0.3%0.0%₹12964.37 Cr7.8%
Axis Global Equity Alpha Fund of Fund Direct Growth

Very High Risk

0.9%1.0%₹833.59 Cr21.0%
Axis Nifty Smallcap 50 Index Fund Direct Growth

Very High Risk

0.3%0.0%₹457.49 Cr32.4%
Axis Flexi Cap Fund Direct Growth

Very High Risk

0.7%1.0%₹12854.88 Cr26.9%
Axis Money Market Fund Direct Growth

Low to Moderate Risk

0.2%0.0%₹17113.47 Cr7.9%
Axis Equity Hybrid Fund Direct Growth

Very High Risk

1.1%1.0%₹1615.65 Cr18.6%
Axis Special Situations Fund Direct Growth

Very High Risk

1.3%1.0%₹1233.51 Cr32.8%
Axis Corporate Debt Fund Direct Growth

Moderate Risk

0.3%0.0%₹6083.48 Cr8.7%
Axis ESG Equity Fund Direct Growth

Very High Risk

1.3%1.0%₹1334.37 Cr20.4%
Axis Arbitrage Fund Direct Growth

Low Risk

0.3%0.0%₹5591.95 Cr8.3%
Axis Greater China Equity Fund of Fund Direct Growth

Very High Risk

0.5%1.0%₹323.64 Cr12.8%
Axis Value Fund Direct Growth

Very High Risk

0.9%1.0%₹785.25 Cr33.3%
Axis All Seasons Debt Fund of Funds Direct Growth

Moderate Risk

0.2%0.0%₹138.42 Cr8.8%
Axis Gilt Fund Direct Growth

Moderate Risk

0.3%0.0%₹1016.50 Cr10.2%
Axis Bluechip Fund Direct Growth

Very High Risk

0.7%1.0%₹33547.36 Cr17.4%
Axis Dynamic Bond Fund Direct Growth

Moderate Risk

0.3%0.0%₹1495.62 Cr8.7%
Axis Gold Fund Direct Growth

High Risk

0.2%1.0%₹696.01 Cr20.1%
Axis Focused 25 Fund Direct Growth

Very High Risk

0.8%1.0%₹13289.37 Cr19.3%
Axis Regular Saver Fund Direct Growth

Very High Risk

1.0%1.0%₹297.87 Cr9.5%
Axis Strategic Bond Fund Direct Growth

Moderately High risk

0.5%1.0%₹1979.18 Cr9.3%
Axis Long Term Equity Fund Direct Growth

Very High Risk

0.8%0.0%₹36373.17 Cr21.5%
Axis Short Term Fund Direct Growth

Moderate Risk

0.4%0.0%₹9161.75 Cr8.5%
Axis Liquid Fund Direct Growth

Low to Moderate Risk

0.1%0.0%₹34674.32 Cr7.5%
Axis Multi Asset Allocation Fund Direct Growth

Very High Risk

1.0%1.0%₹1281.69 Cr19.1%
Axis Midcap Fund Direct Growth

Very High Risk

0.5%1.0%₹30329.59 Cr34.9%
Axis Treasury Advantage Fund Direct Growth

Low to Moderate Risk

0.3%0.0%₹6577.09 Cr8.0%
Axis Equity Saver Fund Direct Growth

Moderately High risk

1.0%1.0%₹1014.59 Cr13.5%
Axis Balanced Advantage Fund Direct Growth

Moderately High risk

0.8%1.0%₹2599.22 Cr21.0%
Axis Nifty Midcap 50 Index Fund Direct Growth

Low Risk

0.3%0.0%₹413.12 Cr26.4%
Axis Nifty IT Index Fund Direct Growth

Very High Risk

0.3%0.0%₹140.01 Cr27.9%
Axis CRISIL IBX 50:50 Gilt Plus SDL September 2027 Index Fund Direct Growth

Low to Moderate Risk

0.1%0.0%₹32.01 Cr8.1%
Axis Credit Risk Fund Direct Growth

Moderately High risk

0.8%1.0%₹415.73 Cr8.8%
Axis Ultra Short Term Fund Direct Growth

Moderate Risk

0.4%0.0%₹6050.14 Cr7.9%
Axis Multicap Fund Direct Growth

Very High Risk

0.7%1.0%₹6807.34 Cr36.9%
Axis CRISIL IBX 50:50 Gilt Plus SDL June 2028 Index Fund Direct Growth

Low to Moderate Risk

0.2%0.0%₹71.82 Cr8.3%
Axis Nifty AAA Bond Plus SDL Apirl 2026 50:50 ETF Fund Of Funds Direct Growth

Low to Moderate Risk

0.1%0.0%₹276.08 Cr6.7%
Axis Silver Fund of Funds Direct Growth

Very High Risk

0.2%0.0%₹63.85 Cr14.7%
Axis Nifty Next 50 Index Fund Direct Growth

Very High Risk

0.3%0.0%₹303.16 Cr35.2%
Axis CRISIL IBX 70:30 CPSE Plus SDL April 2025 Index Fund Direct Growth

Low Risk

0.2%0.0%₹506.13 Cr7.6%
Axis Long Duration Fund Direct Growth

Moderate Risk

0.3%0.0%₹510.21 Cr11.0%
Axis Nifty 50 Index Fund Direct Growth

Very High Risk

0.1%0.0%₹575.83 Cr12.6%

Risk Level

Your principal amount will be at Very High Risk

Very High Risk
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The NAV of Axis Value Fund Regular Growth, as of 20-Dec-2024, is ₹18.30.
The fund has generated 31.47% over the last 1 year and 22.56% over the last 3 years. However, this does not guarantee that the fund will perform similarly in the future.
The fund's allocation of assets is distributed as 87.67% in equities, 0.00% in bonds, and 12.33% in cash and cash equivalents.
The fund managers responsible for Axis Value Fund Regular Growth are:-
  1. Nitin Arora
  2. Krishnaa N