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AX
Axis NASDAQ 100 US Specific Equity Passive FoF Direct Growth
INF846K012K9 Axis Asset Management Co. LTd Other Growth
Latest NAV
₹30.8241
+32.47% 1Y
as of 01 Oct 2026
Sign In to Add to Portfolio Benchmark: NASDAQ - 100 TRI
Expense ratio
0.29%
AUM
₹220 Cr
Min SIP
₹100
Min lump sum
₹100
1Y
+32.47%
3Y (ann.)
+32.76%
5Y (ann.)
+0.00%
Launched
Nov 2022
Where the NAV sits & how risky it is
₹30.82
52-week range at 97%
₹30.82
Low 21 Nov 2025₹22.70
High 30 Sep 2026₹31.10
Risk level Very High
Low
Very high
NAV history
04 Nov 2022 Since inception 01 Oct 2026
Returns by period
1W
+0.33%
1M
+5.09%
3M
+2.24%
6M
+27.03%
1Y
+32.47%
3Y
+32.76%
5Y
+0.00%

3Y and 5Y returns are annualised.

Return calculator
You invest
—
Est. gain
—
Est. value
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Invested Gain
Invested Projected value

Estimate only. It assumes the selected past return repeats every year; 3Y and 5Y figures are taken as annualised. Actual returns vary and are not guaranteed.

Where your money goes AS OF 31 MAY 2026

This is a fund of funds — it invests in other funds and ETFs rather than individual companies, so the source publishes its underlying holdings without a sector split.

Underlying fund
#Fund / ETFWeightYTD
1 iShares NASDAQ 100 ETF USD Acc
IE00B53SZB19
98.58%
+0.00%
About this scheme

Investment objective To replicate the performance of the Nasdaq 100 TRI by investing ETFs whose primary objective is to track/replicate the performance of the Nasdaq 100 TRI, subject to tracking errors. However, there is no assurance or guarantee that the investment objective of the scheme will be achieved.

Fund manager(s): Krishnaa N

Exit load: Exit load of 1%, if redeemed within 7 days

Scheme snapshot
VR Rating
MS Rating
Plan
Growth
Type
DIRECT
Inception
01 Nov 2022
Lump-sum min
₹100
SIP Purchase Switch STP SWP