Scheme Detail
Strategy Return v/s Benchmark -
(As on 31 Jul 2026)
Strategy Return v/s Benchmark -
(As on 31 Jul 2026)

Duration

Strategy

Benchmark: S&P BSE 500 Total Return Index

1 Month

-1.22%

2.19%

3 Months

6.13%

3.78%

6 Months

5.87%

1.99%

1 Years

2.35%

2.98%

2 Years

2.34%

0.42%

3 Years

13.67%

11.89%

5 Years

15.58%

12.35%

Since Inception (13 Jan 2021)

16.64%

13.79%

Scheme Details

Information not available


NAV

23.4907

as on 31 Jul 2026

AUM (in Cr.)

as on 31 Jul 2026

Category
Equity: Multi Cap

Inception Date
13 Jan 2021


Benchmark Name

S&P BSE 500 Total Return Index

Min. Investment

₹5,000,000

Fund Manager Name


Exit Load

1 Year: 3.00%, 2 Year: 2.00%, 3 Year: 1.00%
Top 5 Allocation
  • Scrips Percentage
  • Cash & Cash Equivalent 12.89%
  • KDDL Ltd 7.14%
  • Maruti Suzuki India Limited 7.01%
  • Bharti Airtel Limited 6.74%
  • Acutaas Chemicals Limited 6.56%
Composition

Information not available

  • Fund Composition Percentage
  • Alternate 0%
  • Cash 12.89%
  • Debt 0%
  • Derivative 0%
  • Equity 87.11%
  • Hybrid 0%
  • Others 0%
Fund Manager

Mr. Nishit Master, through his diverse experience in both Buy side and Sell side firms brings in a fresh perspective on markets at Axis Securities. As Fund Manager, he is responsible for generating superior risk adjusted returns for customers as per their mandate. Nishit has more than 18 years of experience in the financial services industry and has worked with various companies like ING Investment Management, Kotak Mahindra Bank, Elara Capital, Reliance Securities, Anand Rathi, Motilal Oswal Financial Services etc. At Reliance Securities he was Senior Vice President and Head of Institutional Equities. His last assignment was with Emkay Global Financial Services as part of their Institutional broking team. Nishit is a FRM certificate holder and management graduate. He is an MBA from NMIMS, Mumbai and has an acute sense of understanding business models and picking outperformers amongst the investable universe.


Fund Manager AMC Name

Axis Asset Management Company Ltd

Fund Manager AUM

34.02 Cr

Total funds being managed by the fund manager

1

Fund Manager started managing (From)

27 Nov 2020

Fund Manager started managing (To)

28 Feb 2026
About AMC

AXIS - Portfolio management philosophy is built on the timeless principles of protection and growth. While the desire to grow money is natural, we believe that there is more to investments than just that. In a dynamic market, environment customized wealth creation solutions are aimed at growing one's wealth and also crafting a bold future, investing in equity that endeavors to achieve long term capital appreciation through investment in companies with strong brands. The allocation will consist of the best ideas within this space. This is a distinctive approach that yields returns and propels towards a rewarding and bold future.


AMC Address

23rd Floor, One Lodha place, S. B. RoadLower Parel, Mumbai-400013

AMC SEBI registration number

INP000003534

Axis Pure Growth Portfolio

Return for 1Year

Strategy
2.35%

Benchmark
2.98%

Return for 1Year

Strategy
2.35%

Benchmark
2.98%


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