AXIS NASDAQ 100 Fund of Fund Regular G
Summary Info
Fund Name
: Axis Mutual Fund
Scheme Name
: AXIS NASDAQ 100 Fund of Fund Regular G
AMC
: Axis Mutual Fund
Type
: Open
Category
: Fund of Funds - Equity
Launch Date
: 07-Oct-2022
Fund Manager
: Krishnaa N
Net Assets (Rs. cr)
: 156.69
AXIS NASDAQ 100 Fund of Fund Regular G - Nav Details
Nav Date
: 07-May-2025
NAV [Rs.]
: 17.6462
Buy/Resale Price [Rs.]
: 0
Sell/Repurchase Price [Rs.]
: 0
Entry Load %
: Nil
Exit Load %
: 1% - If redeemed / switched out within 7 days from the date of allotment. Nil - If redeemed / switched out above 7 days from the date of allotment.
AXIS NASDAQ 100 Fund of Fund Regular G- NAV Chart
AXIS NASDAQ 100 Fund of Fund Regular G- Performance(%)
Returns above 1 yr. are annualized
1W | 1M | 3M | 6M | 1Y | 3Y | 5Y | Since INC | |
---|---|---|---|---|---|---|---|---|
Scheme Returns | 1.45 | 10.27 | -11.59 | -3.7 | 12.1 | - | - | 25.67 |
Category Avg | 0.01 | 5.74 | -1.5 | -2.17 | 9.09 | 15.36 | 20.87 | 9.2 |
Category Best | 4.43 | 12.82 | 17.43 | 22.34 | 62.19 | 44.12 | 34.88 | 27.45 |
Category Worst | -3.78 | -2.99 | -19.09 | -20.03 | -11.39 | -2 | 7.98 | -18.84 |
AXIS NASDAQ 100 Fund of Fund Regular G- Latest Dividends
No Records Found
AXIS NASDAQ 100 Fund of Fund Regular G- Investment Details
Min. Investment(Rs.)
: 100
Increm.Investment(Rs.)
: 100
In & Out
In
Out
Fund Holdings
Asset Type | Instrument Name | Industry | Net Assets(%) | No of Shares | Mkt Value(Cr.) |
---|---|---|---|---|---|
Mutual Fund Investments | |||||
Foreign Mutual Funds (Equity Fund) | iShares VII PLC - iShares NASDAQ 100 UCITS ETF | -/- | 98.29 | 16514 | 154.00 |
Cash & Cash Equivalent | |||||
Reverse Repo | C C I | -/- | 1.93 | 0 | 3.01 |
Net CA & Others | Net CA & Others | -/- | -0.22 | 0 | -0.33 |
MY WEALTH AT RETIREMENT
Calculate the worth of your wealth at retirement