Axis Value Fund
Equity · Value Fund
₹21.28
+0.71% 1D NAV change
NAV as of 31 Jul 2026
+10.1% · NAV · 1Y
1M
+3.05%
cat. —
3M
+6.51%
cat. —
6M
+5.82%
cat. —
1Y
+5.90%
cat. +1.45%
3Y
+18.60%
cat. +14.57%
5Y
—
cat. +13.95%
Peers Equity › Value Fund
Fund1Y3Y5Y
Axis Value Fund+5.90%+18.60%—
Aditya Birla Sun Life Value Fund - Growth+7.60%+16.60%+15.00%
Bandhan Value Fund-0.80%+11.70%+14.00%
Baroda BNP Paribas Value Fund-1.70%+10.00%—
Canara Robeco Value Fund-3.50%+12.00%—
DSP Value Fund+9.80%+17.60%+13.80%
Groww Value Fund (formerly known as Indiabulls Value Fund)+0.60%+14.70%+13.00%
HDFC Value Fund - Growth Option+4.00%+16.60%+15.30%
Portfolio
Portfolio holdings and sector allocation are not published for this scheme.
Health check ALL CHECKS FREE
4 figures this scheme filed as of 24 Jul 2026, restated as published — not a rating.
1-year return
+5.90%
3-year return
+18.60%
Volatility
15.0%
Max drawdown
-17.10%
Fund facts
CategoryEquity
Sub-categoryValue Fund
AMCAxis Mutual Fund
NAV₹21.28 as of 31 Jul 2026
AUM, expense ratio, minimum SIP and exit load are not published in this dataset. 1Y, 3Y and 5Y are the scheme's AMFI-filed figures as of 24 Jul 2026. 1M, 3M, 6M and the chart are computed from its own daily NAV prints up to 31 Jul 2026, so a week that moved the NAV can put the two apart.
SIP calculator
Invested over 5Y₹3,00,000
Value at fund's 5Y CAGR—
This scheme's 5-year CAGR is not published, so a projected value cannot be shown.
Manager & AMC
Axis Mutual Fund
Fund manager identity and tenure are not published in this dataset.