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Axis Equity Fund-Growth

Scheme ratings:
Launch Date : Nov 2009
Nav as on Jun 28, 2024
₹ 58.38-0.28 (-0.48%)
Riskmeter
Asset Under Management (AUM) : 32842.73
Expense Ratio : 1.56
Minimum initial Investment : 100
Exit Load : Exit Load for units in excess of 10% of the investment,1% will be charged for redemption within 12 months.

RETURN

Investment periodFund return %Category Avg return%RANK IN CATEGORYSIP RETURN
1 Month7.487457.48
3 Months6.8910.101476.89
6 Months14.7018.157714.70
1 Year28.2339.179028.23
3 Years12.0218.6810540.56
5 years14.2817.388894.94

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