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Axis Mutual Fund - Fund Manager

Ashish Naik

Ashish Naik

Qualification: MBA from XLRI, Jamshedpur and B.E. from Mumbai University.. Experience:Equity Analyst - Axis Asset Management Company Ltd. (August 2009 to June 21, 2016) Business Analyst - Goldman Sachs India Securities Ltd. (April 2007 to July 2009) Software Engineer - Hexaware Technologies Ltd. (August 2003 to May 2005>

Fund Name
Classification
Fund AUM (Cr.)
AXIS Bluechip Fund (G)
Equity: Large Cap
33171.04
AXIS Multi Asset Allocation Fund - Regular (G)
Hybrid: Multi Asset Allocation
1235.17
AXIS Regular Saver Fund (G)
Hybrid: Conservative Hybrid
390.41
AXIS ELSS Tax Saver Fund (G)
Equity: ELSS
34299.84
AXIS Children's Gift Fund - Lock in (G)
Solution Oriented: Childrens
798.92
AXIS Children's Gift Fund - No Lock in (G)
Solution Oriented: Childrens
798.92
AXIS Nifty 50 ETF
Other: ETFs
530.12
AXIS Equity Hybrid Fund - Regular (G)
Hybrid: Aggressive Hybrid
1651.83
AXIS Balanced Advantage Fund (G)
Hybrid: Dynamic Asset Allocation or Balanced Advantage
1978.54
AXIS Nifty 100 Index Fund (G)
Other: Index
1162.43
Top Holdings - ConsoloidatedWts(%)
Bajaj Finance Ltd6.67%
HDFC Bank Ltd6.55%
Avenue Supermarts Ltd5.76%
Tata Consultancy Services Ltd5.74%
ICICI Bank Ltd4.14%
Fund Name1M3M6M1Y3Y5YSince Inception
AXIS Bluechip Fund (G)
0.51%
7.74%
8.8%
19.01%
9.55%
13.72%
12.3%
AXIS Multi Asset Allocation Fund - Regular (G)
-0.35%
3.91%
4.28%
12.3%
8.51%
12.12%
9.21%
AXIS Regular Saver Fund (G)
0.24%
2.6%
3.24%
8.48%
6.3%
6.92%
7.52%
AXIS ELSS Tax Saver Fund (G)
0.33%
7.36%
9.07%
24.71%
9.54%
13.68%
15.79%
AXIS Children's Gift Fund - Lock in (G)
0.02%
3.91%
4.72%
13.42%
9.37%
11.72%
10.09%
AXIS Children's Gift Fund - No Lock in (G)
0.02%
3.91%
4.72%
13.42%
9.37%
11.72%
10.09%
AXIS Nifty 50 ETF
0.54%
9.06%
9.95%
20.75%
15.62%
15.83%
14.28%
AXIS Equity Hybrid Fund - Regular (G)
0.12%
5.05%
5.64%
14.74%
9.38%
11.94%
10.3%
AXIS Balanced Advantage Fund (G)
1.53%
8.27%
10.77%
20.5%
11.13%
10.1%
8.83%
AXIS Nifty 100 Index Fund (G)
1.05%
10.41%
11.41%
19.81%
14.47%
N/A
15.51%
Fund Performance