Axis Bluechip Fund-Growth (₹ 62.11) - NAV, Reviews & asset allocation (2024)

(Scheme Rating)

  • Expense Ratio:
    1.56%

    (0.86% Category
    average)

  • Fund Size:
    Rs. 35,451.86 Cr

    (6.43% of Investment in Category)

  • Invest in MF

    ADD TO PORTFOLIO

Investment Growth

  • Type
    • SIP
    • Lumpsum

SIP

  • Amount
    • 100
    • 500
    • 1,000
    • 5,000
    • 10,000

5,000

  • Period
    • 3 Months
    • 6 Months
    • 1 Year
    • 3 Years
    • 5 Years

1 Year

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Axis Bluechip Fund-Growth

(Scheme Rating)

  • NAV as of Sep 13, 2024

    62.11-0.19%

  • Expense Ratio:

    1.56%

  • Fund Size:

    Rs. 35,451.86 Cr

  • Fund Category:

    Equity: Large Cap

  • Overview
  • Returns
  • Return Comparison
  • Portfolio
  • Peer Comparison
  • Risk Analysis
  • News
  • Fund Manager
  • Tools
  • About

Axis Bluechip Fund-Growth Fund Key Highlights
1. Current NAV: The Current Net Asset Value of the Axis Bluechip Fund as of Sep 13, 2024 is Rs 62.11 for Growth option of its Regular plan.
2. Returns: Its trailing returns over different time periods are: 31.48% (1yr), 9.97% (3yr), 16.32% (5yr) and 13.23% (since launch). Whereas, Category returns for the same time duration are: 39.05% (1yr), 16.72% (3yr) and 20.05% (5yr).
3. Fund Size: The Axis Bluechip Fund currently holds Assets under Management worth of Rs 35451.86 crore as on Aug 31, 2024.
4. Expense ratio: The expense ratio of the fund is 1.56% for Regular plan as on Sep 02, 2024.
5. Exit Load: Axis Bluechip Fund shall attract an Exit Load, "Exit Load for units in excess of 10% of the investment,1% will be charged for redemption within 12 months."
6. Minimum Investment: Minimum investment required is Rs 100 and minimum additional investment is Rs 100. Minimum SIP investment is Rs 100.

Axis Bluechip Fund-Growth Returns

  • Trailing Returns

  • Rolling Returns

  • Discrete Period

  • SIP Returns

Return Comparison

  • This Fund

  • BenchmarkBSE 100 Total Return Index

  • Choose from Benchmarks

    • S&P BSE Sensex
    • Nifty 50
  • 1M
  • 3M
  • 6M
  • 1Y
  • 5Y

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Axis Bluechip Fund-Growth Fund Details

Investment Objective - The scheme aims to generate long term capital growth by investing in a diversified portfolio predominantly consisting of equity & equity related instruments of large cap companies.

Fund HouseAxis Mutual Fund
Launch DateJan 05, 2010
BenchmarkBSE 100 Total Return Index
Return Since Launch13.23%
RiskometerVery High
TypeOpen-ended
Risk GradeAverage
Return GradeLow

Axis Bluechip Fund-Growth Investment Details

Minimum Investment (Rs.)100.00
Minimum Additional Investment (Rs.)100.00
Minimum SIP Investment (Rs.)100.00
Minimum Withdrawal (Rs.)1,000.00
Exit Load

Exit Load for units in excess of 10% of the investment,1% will be charged for redemption within 12 months.

Portfolio Allocation

Asset Allocation

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Asset Allocation History

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EquityDebtCash

Sector Allocation

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Market Cap Allocation

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Concentration & Valuation Analysis

AUG 2024JUL 2024JUN 2024MAY 2024APR 2024MAR 2024
Number of Holdings555650474845
Top 5 Company Holdings31.9% 32.64% 34.87% 33.48% 33.8% 33.93%
Top 10 Company Holdings52.07% 52.81% 54.84% 52.88% 53.28% 54.04%
Company with Highest ExposureHDFC Bank (8.49%)HDFC Bank (8.71%)HDFC Bank (9.07%)ICICI Bank (8.22%)ICICI Bank (8.27%)ICICI Bank (7.73%)
Number of Sectors151515151515
Top 3 Sector Holdings51.18% 50.12% 52.03% 50.71% 51.26% 51.14%
Top 5 Sector Holdings70.61% 69.45% 70.22% 68.25% 68.5% 68.56%
Sector with Highest ExposureFinancial (26.86%)Financial (27.76%)Financial (30.21%)Financial (29.08%)Financial (28.83%)Financial (29.28%)
  • Top Stock Holdings

  • Sector Holdings in MF

Peer Comparison

  • Cumulative Returns

  • SIP returns

  • Discrete Returns

  • Quant Measures

  • Asset Allocation

Risk Ratios

Ratios are calculated using the calendar month returns for the last 3 years

  • Standard Deviation

    Standard Deviation

    Standard deviation is the deviation of the fund's return around mean.

    Low Volatality

    12.41VS13.62

    Fund Vs Category Avg

  • Beta

    Beta

    Beta shows the portfolio risk in relation to the market. A beta of less than 1 means that the fund returns are less volatile compared to the broader market. A beta of more than 1 means that the fund returns are more volatile than the broader markets. A beta equal to 1 means that fund's volatility is in line with the broader market.

    Low Volatality

    0.94VS1.00

    Fund Vs Category Avg

  • Sharpe Ratio

    Sharpe Ratio

    Sharpe ratio is a risk adjusted performance measure. A fund with a higher Sharpe ratio is considered better than a fund with a lower Sharpe ratio.

    Poor risk-adjusted returns

    0.36VS0.83

    Fund Vs Category Avg

  • Treynor's Ratio

    Treynor's Ratio

    Treynor is a risk adjusted performance measure. A fund with a higher Treynor ratio is considered better than a fund with a lower Treynor ratio.

    Poor risk-adjusted returns

    4.81VS10.92

    Fund Vs Category Avg

  • Jensen's Alpha

    Jensen's Alpha

    Alpha shows the ability of the fund manager to outperform the market. A higher Alpha is preferred.

    Poor risk-adjusted returns

    -5.80VS0.01

    Fund Vs Category Avg

  • Mean Return

    Mean Return

    Average return generated by the fund during a specified period.

    Poor average monthly returns

    10.16VS16.60

    Fund Vs Category Avg

Risk Ratio Chart

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  • Risk Ratio
  • Category Average

Size of Bubbles represents the Fund Size

Fund Manager

More Axis Mutual Fund

Scheme NameRatingAsset Size(Cr)1M3M6M1Y3Y
Axis ELSS Tax Saver Fund-Growth34,025.162.465.5511.8633.028.90
Axis Liquid Fund-Growth33,841.390.601.833.587.255.35
Axis Liquid Fund Retail-Growth33,841.390.561.703.326.714.82
Axis Bluechip Fund-Growth32,645.863.807.6413.5329.0310.19
Axis Midcap Fund-Growth25,264.051.916.6910.5736.8316.88
Axis Small Cap Fund Regular-Growth19,606.42-3.053.338.3737.1625.48
Axis Banking & PSU Debt Fund -Growth13,930.050.692.013.347.355.09
Axis Focused 25 Fund-Growth13,538.391.965.3210.4628.886.59
Axis Flexi Cap Fund Regular - Growth11,490.972.105.4410.7229.8810.85
Axis Growth Opportunities Fund Regular - Growth11,310.892.388.9314.2643.2018.25

Mutual Fund Tools

    Top AMCs

    About Axis Bluechip Fund-Growth
    1. Axis Bluechip Fund is Open-ended Large Cap Equity scheme which belongs to Axis Mutual Fund House.
    2. The fund was launched on Jan 05, 2010.

    Investment objective & Benchmark
    1. The investment objective of the fund is that " The scheme aims to generate long term capital growth by investing in a diversified portfolio predominantly consisting of equity & equity related instruments of large cap companies. "
    2. It is benchmarked against BSE 100 Total Return Index.

    Asset Allocation & Portfolio Composition
    1. The asset allocation of the fund comprises around 97.05% in equities, 2.52% in debts and 0.42% in cash & cash equivalents.
    2. While the top 10 equity holdings constitute around 52.07% of the assets, the top 3 sectors constitute around 51.18% of the assets.
    3. The fund largely follows a Growth oriented style of investing and invests across market capitalisations - around 0.0% in giant & large cap companies, 0.0% in mid cap and 0.0% in small cap companies.

    Tax Implications on Axis Bluechip Fund-Growth
    1. Gains are taxed at a rate of 15% (Short-term Capital Gain Tax - STCG) if units are redeemed within 1 year of investment.
    2. For units redeemed after 1 year of investment, gains of upto Rs. 1 lakh accruing from those units in a financial year shall be exempted from tax.
    3. Gains of more than Rs. 1 lakh will be taxed at a rate of 10% (Long-term Capital Gain Tax - LTCG).
    4. For Dividend Distribution Tax, the dividend income from this fund will get added to the income of an investor and taxed according to his/her respective tax slabs.
    5. Also, for dividend income in excess of Rs 5,000 in a financial year; the fund house shall deduct a TDS of 10% on such income.

    This Might Catch Your Interest

    FAQs about Axis Bluechip Fund-Growth

    • Is it safe to invest in Axis Bluechip Fund?

      As per SEBI’s latest guidelines to calculate risk grades, investment in the Axis Bluechip Fund comes under Very High risk category.

    • What is the category of Axis Bluechip Fund?

      Axis Bluechip Fund belongs to the Equity : Large Cap category of funds.

    • How Long should I Invest in Axis Bluechip Fund?

      The suggested investment horizon of investing into Axis Bluechip Fund is >3 years. The suggested investment horizon is the minimum time required for holding investments in the fund to reduce its downside risk and ensure that the returns become more predictable.

    • Who manages the Axis Bluechip Fund?

      The Axis Bluechip Fund is managed by Shreyash Devalkar (Since Nov 23, 2016) and Ashish Naik (Since Aug 03, 2023).

    Date Sources: Mutual Funds, ETFs, and NPS data are sourced from Value Research. All times stamps are reflecting IST (Indian Standard Time). By using this site, you agree to the Terms of Service and Privacy Policy.

    Axis Bluechip Fund-Growth (₹ 62.11) - NAV, Reviews & asset allocation (2024)
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