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MARKET STATS

Axis Midcap Fund-Reg(G)

₹ 69.09(-1.13%) Nav: As on 25 Oct 2021
₹ 69.09(-1.13%) Nav: As on 25 Oct 2021
  1. Growth ₹ 1539486.2
  2. Dividend NA
  3. Category Equity
  4. Launch Date 18 Feb 2011
  5. Assets As on 30 Sep 2021 15394.86
  6. Expense As on 25 Oct 2021 1.9%
Nav vs Time/Day As on 25 Oct 2021
Portfolio 25 Oct 2021
Asset Allocation
Analysis
Investment Objective To achieve long term capital appreciation by investing predominantly in equity & equity related instruments of Mid Cap companies.

Returns

  1. Period Invested
  2. 1 Week
  3. 1 Month
  4. 3 Month
  5. 6 Month
  6. YTD
  7. 1 Year
  8. 2 Year
  9. 3 Year
  10. 5 Year
  11. Since inception
  1. ₹10000
    Invested on
  2. Oct 18 2021
  3. Sep 24 2021
  4. Jul 23 2021
  5. Apr 23 2021
  6. Dec 31 2020
  7. Oct 23 2020
  8. Oct 25 2019
  9. Oct 25 2018
  10. Oct 25 2016
  11. Feb 18 2011
  1. Latest
    Value
  2. 9988.59
  3. 9992.46
  4. 10242.22
  5. 11369.91
  6. 13806.95
  7. 16165.18
  8. 25760.87
  9. 43462.95
  10. 86770.64
  11. 69090
  1. Absolute
    Returns
  2. -5.95%
  3. -0.92%
  4. 9.82%
  5. 27.78%
  6. 61.65%
  7. 61.65%
  8. 78.8%
  9. 111.54%
  10. 153.54%
  11. 590.9%
  1. Annualise
    Return
  2. -310.19%
  3. -10.81%
  4. 38.14%
  5. 54.81%
  6. 46.63%
  7. 61.32%
  8. 39.35%
  9. 37.15%
  10. 30.69%
  11. 55.27%
  1. Category
    Average
  2. -4.91%
  3. 1.06%
  4. 8.65%
  5. 29.87%
  6. 71.36%
  7. 71.36%
  8. 35.99%
  9. 25.36%
  10. 16.01%
  11. 20.03%
  1. Rank with
    Category
  2. 329/179
  3. 285/178
  4. 122/174
  5. 120/171
  6. 100/179
  7. 100/168
  8. 61/158
  9. 20/145
  10. 12/112
  11. 68/179
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