NAV | Rs. 10.05
0.00 %
(as on Jan. 15, 2021) |
---|---|
1 yr Return | -0.29 % |
NAV | 1 yr Return | 3 yr. Return | 5 yr. Return |
---|---|---|---|
Rs. 10.05
0.00 %
(as on Jan. 15, 2021) |
-0.29 % | N/A | N/A |
Standard Deviation | |
---|---|
Beta | |
Sharpe Ratio | |
Treynor Ratio | |
Sortino Ratio | |
Information Ratio | |
R-Squared | |
Jensen's Alpha |
Worst(Period) | Best(Period) | |
---|---|---|
Quarter 1 (1st April - 30th June) |
0.35% (2019) |
0.35% (2019) |
Quarter 2 (1st July - 30th September) |
None% (2018) |
None% (2018) |
Quarter 3 (1st October - 31st December) |
0.23% (2018) |
0.23% (2018) |
Quarter 4 (1st January - 31st March) |
-0.02% (2018) |
-0.02% (2018) |
Half Year-1 | None% (2018) |
None% (2018) |
Half Year-2 | 0.27% (2018) |
0.27% (2018) |
Annual | 0.27% (2018) |
0.35% (2019) |
Fund | Return 3Y(%) |
---|---|
Axis Gold Fund - Dividend Option | 19.92 |
Axis Gold Fund - Growth Option | 16.66 |
Axis Bluechip Fund - Growth | 15.35 |
Axis Multicap Fund - Regular Plan - Growth | 14.92 |
Axis Midcap Fund - Growth | 14.25 |