NAV on (21 Jan 2026 )
₹127.98 ▲
(+4.41%)
Fund Size
₹3895.01 Crores
1Y Returns
91.09 %
The?investment?objective?of?the?Scheme?is?to?generate?returns?that?are?in?line?with?the?performance?of?gold.
Axis Asset Management Company Ltd.
Launch Date
October 20, 2010
Fund Manager
Mr. Pratik Tibrewal
Initial Price
1
AUM Fund
3895.01 Cr
Min investment
Rs 5000
Expense Ratio
0.56%
Nil
1 Month
+16.69%
6 Months
+54.78%
1 Year
+91.09%
2 Years
+55.06%
3 Years
+37.25%
5 Years
+24.42%
| Equity / Mid Cap funds | 1Y | 3Y | Fund Size (Cr) |
|---|---|---|---|
| 106.59% | 184.51% | ₹1265.71 | |
| 106.55% | 184.47% | ₹1265.71 | |
| 105.93% | 181.61% | ₹1265.71 | |
| 105.93% | 181.61% | ₹1265.71 | |
| 105.93% | 181.61% | ₹1265.71 |