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Equity · Equity Scheme - Value Fund

Axis Value Fund

Axis · Direct Plan · Growth · as of 2026-09-07
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Key metrics

Latest NAV
₹21.69
Day change
-0.28%
Volatility
14.6%
Sharpe
0.38
Max drawdown
-20.2%
Expense ratio
0.64%
AUM
₹1,552 Cr
Category rank
4 / 23

Trailing returns

Period1W1M3M6M1Y3Y5Y7Y10Y
Return-1.45%-0.05%8.61%9.10%12.04%18.60%
Returns up to 1Y are absolute; 1Y and longer are annualised (CAGR). Source: public AMFI NAV data.

NAV history

8131823Sep 21Mar 24Sep 26+116.9% over period
Chart shows the fund's available daily NAV history. Daily NAV data begins around 2006, so older funds may predate this range.

About this fund

Axis Value Fund is a equity fund following a specific style offered by Axis Mutual Fund, classified under Equity as Equity Scheme - Value Fund. Style-based funds can behave differently from the broad market over short periods. Its latest NAV is ₹21.69, with assets under management of about ₹1,552 Cr (April - June 2026).

Performance analysis

Over the trailing one year, Axis Value Fund has recorded a return of about 12.0%, with a three-year return of 18.6%. Its annualised volatility is 14.6% — moderate fluctuations — and its Sharpe ratio is 0.38, a measure of return per unit of risk taken. The direct-plan base expense ratio is 0.64%, deducted daily from the NAV.

Rolling returns

WindowAvgMedianMinMax% Pos% >12
1Y20.9913.81-6.1556.6094%55%
3Y23.1223.1417.7630.53100%100%
Each row takes every possible start date in the fund's history and computes the annualised return (CAGR) over that window. Avg/Median = the typical outcome; Min/Max = worst and best; % Pos = how often the window ended positive; % >12 = how often it beat 12% a year. Higher consistency means timing mattered less.

Frequently asked questions

What does Axis Value Fund invest in?
It invests primarily in stocks selected by its stated investment style.
How is this fund classified?
It is a Equity Scheme - Value Fund fund in the Equity group.
How often is the NAV updated?
Mutual fund NAVs are declared by the AMC on every business day. This page sources NAV from public AMFI data and refreshes twice daily.
What is its expense ratio?
0.64% (direct plan, base expense ratio), deducted daily from the NAV. Some platforms quote a higher all-in Total TER — verify with the AMC.
How is the rolling return calculated?
Rolling return averages the fund's annualised return over every possible window of a given length across its history, rather than a single start-to-end period — reducing the effect of one lucky or unlucky entry date.
Is past performance a guarantee of future returns?
No. Past performance does not indicate future results; mutual fund values fluctuate with markets. Read all scheme-related documents carefully before investing.

Compare with peers

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More funds from Axis
Fund1M3M6M1Y3Y5Y10YTER %
Axis Arbitrage Fund
Hybrid Scheme - Arbitrage Fund
0.501.913.246.737.426.816.470.27
Axis Equity Savings Fund
Hybrid Scheme - Equity Savings Fund
-0.344.184.676.089.777.969.520.93
AXIS Corporate Bond Fund
Income/Debt Oriented Schemes - Corporate Bond Fund
0.112.123.095.987.786.810.30
Axis Balanced Advantage Fund
Hybrid Scheme - Balanced Advantage Fund/ Dynamic Asset Allocation
-1.463.282.544.3111.939.750.71
Axis Flexi Cap Fund
Equity Scheme - Flexi Cap Fund
-0.169.4911.187.3414.409.350.67
Axis Aggressive Hybrid Fund
Hybrid Scheme - Aggressive Hybrid Fund
-1.544.913.783.649.877.290.93
Axis Ultra Short Term Fund
Income/Debt Oriented Schemes - Ultra Short Term Fund
0.672.173.746.937.496.77
Axis Large & Mid Cap Fund
Equity Scheme - Large & Mid Cap Fund
-0.516.749.558.8515.5512.910.57
Returns ≥ 1Y are annualised (CAGR). TER = direct-plan base expense ratio. Click a fund to open its page.