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06 Dec 2016 | 7:07 AM

Axis Children`s Gift Fund Compulsory Lock-in - Direct Plan-Dividend

Fund Family : Axis Asset Management Company Ltd. | Fund Class: Hybrid - Equity Oriented
10.6044
-0.02
(0.27 %)
16 Nov 2016 | 12:00 AM
Change Scheme
  • Asset Size (Rs. cr)
    263.95
  • Volatility (Std div)
    NA
  • Expense Ratio
    2.62
  • YTD Return
    NA
  • Turnover Ratio
    NA
  • Inception Date
    NA
  • Type
    Open Ended
  • 52Wk High - Low Range
    9.50
    11.18
1W | 1M | 3M | 6M | 1YR | MAX

Trailing Returns

Untitled Page
1M(%)3M(%) 6M(%)1Yr(%)
Scheme
-3.58
-2.45
2.63
0.00
Category
-2.72
-2.91
4.36
6.87
Sensex
-4.04
-9.07
-1.60
3.21
Nifty
-4.33
-9.10
-0.88
4.68
Investment Information
Min. Investment5000.00
Entry / Exit Load (%)
0.00/3
3% for redemption within 365 days. 2% for redemption between 366 - 730 days. 1% for redemption between 731 - 1095 days.

Peer Groups

Schemes Name NAV 1 Yr
11.45 15.86
16.60 14.41
11.21 13.70
16.00 12.78

Top Holdings

Company Name Value
(Rs in Cr)
Hold (%)
23.53 13.10
12.79 7.12
11.71 6.52
7.49 4.17
6.03 3.36

Scheme Porfolio

Equity
66.49%
Debt
8.62%
Others
24.89%

Whats In And Out

Company Name No of Share Mkt Value
No Data Available

AUM Movement

Asset Size in Rs (Cr.)

AMC Details

AMC Name
Axis Asset Management Company Ltd.
Mr. Ashwin Patni Mr. Devang Shah Mr. Jinesh Gopani Mr. R Sivakumar Mr. Ashish Naik Mr. Aditya Pagaria
Fund Manager
Registered Office
Axis House 1st Floor C-2 Wadia International Centre Pandurang Budhkar Marg Worli,
Tel : 43255161
Fax :43255199

Plans

NAV (Rs)
Performance (%)
1M 6M 1Y 3Y
Growth 10.61 -3.58 2.64 0.00 0.00
Dividend 10.60 -3.58 2.63 0.00 0.00

Dividend History

Dividend date Dividend ( Rs/unit )
No Data Available
Regenerate OTP
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