Axis Asset Management Company Ltd.
Axis Asset Management Company Ltd. has 602 schemes with a total AUM of 3,495,224.51 Cr. It runs 345 Debt schemes and 305 equity schemes with an average net expense ratio of 0.77% and 1.10%
Out of the total 68 active AMC, Axis Asset Management Company Ltd. has a share of 4.61% of the equity MFs and 5.25% of the debt Mutual Funds.
Axis Asset Management Company Ltd. best equity scheme, Axis NASDAQ 100 Fund of Fund - Dir - G has given a cagr returns of 36.05% over the past 3 years while the Axis Balanced Advantage Dir IDCW-P is the best performing scheme from it's debt stable with a cagr returns of 18.86% over the past 3 years.
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