AXIS Multicap Fund (G)

AXIS Multicap Fund (G)

EquityMulti Cap Fund5
Returns 5.93% annually for last 1 yr
Net Asset Value on 16 Sep 2026₹19.28
Min SIP Amount₹100
Min Lumpsum Amount₹100
Fund Size11,984.66 Cr

About AXIS Multicap Fund (G)

As on 2026-09-16, AXIS Multicap Fund (G) has an Asset Under Management (AUM) of ₹11984.66 Cr. The fund's expense ratio is 1.98 %, which is the fee charged by the fund house for managing the scheme. Investors can consider this metric along with the fund's objectives, risk profile, and performance history.

Calculate your SIP value

Total value

₹43,508

21% growth in 3 years

Estimated returns

₹7,508

Invested Amount

₹36,000

Investment Type

Investment Amount

Tenure (in years)

years

Expected Return

%

Returns (by years)

Estimated Returns
Invested Amount

Note

This calculator provides illustrative estimates only and should not be considered a guarantee of actual returns.

Key features of AXIS Multicap Fund (G)

AXIS Multicap Fund (G) is a Equity mutual fund scheme managed by Axis Mutual Fund. It was launched on 2021-11-26 and is classified under the Multi Cap Fund category. The fund's historical returns over different time periods can help investors understand its past performance. However, past performance does not guarantee future returns and should not be the sole basis for investment decisions.

Fund age
4 years10 months
Asset under management
₹ 11,984.66
Lock-in Period
0
Exit Load
If redeemed / switched-out within 12 months - For 10% of investment: NIL For remaining investment: 1% If redeemed/switched out after 12 months from the date of allotment: NIL
Expense ratio
1.98%
Tax Implications

Withdrawal after 3 years: 12.5% tax on gains above ₹1.25 lakhs per financial year

Withdrawal within 2 years: Tax on gains as per income tax bracket Withdrawal after 2 year: 12.5% without indexation benefits

Withdrawal within 1 year: 20% tax on gains Withdrawal after 1 year: 12.5% tax on gains above ₹1.25 lakhs per financial year

Very High

Your investment will be at Very High risk

Sector NameAllocation
Banks18.37%
Auto Components9.22%
Electrical Equipments8.51%
Finance5.71%
Pharmaceuticals & Biotech5.36%
Debt4.78%

Frequently Asked Questions

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