
Axis Value Fund Direct Growth
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NAV on February 21, 2025
Category
Equity:
Value
Value
Investment StyleBox
Large Growth
Total Assets
785 cr
Turnover Ratio
90.24%
Expense Ratio
0.94%
Exit Load
1.00%
if redeemed within
Returns
- 1M: -5.84%
- 1Y: 10.74%
- 3M: -6.65%
- 3Y: 20.73%
- 6M: -9.79%
- 5Y: N/A
Best Value Funds
NAME | LATEST NAV |
RETURNS 1y |
FUND ASSETS |
Expense RATIO |
RISK | |
167.558 | 13.88% | 9,606 cr | 1.12% | Average | ||
122.490 | 11.17% | 1,150 cr | 1.1% | Below Average | ||
17.420 | 10.74% | 785 cr | 0.94% | Above Average | ||
465.620 | 9.15% | 48,400 cr | 1.06% | Low | ||
98.432 | 2.01% | 1,027 cr | 1.02% | Above Average |
Other plans of Axis Value Fund