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Axis ESG Integration Strategy Fund - Regular Plan - Growth Option
★★★★★ monitor_heart Health Score: 45/100 · WeakAxis Mutual Fund · Equity · Sectoral/ Thematic
₹20.67
AUM: ₹1,072 Cr
NAV updated 19 days ago
Plan
Regular
Option
Growth
Risk
Very High
Expense Ratio
1.33%
Exit Load
Exit Load for units in excess of 10% of the investment,1% will be charged for redemption within 12 months.
Fund Manager
Jinesh Gopani
Inception
Feb 2020
Benchmark
NIFTY 100 ESG Total Return Index
Sharpe Ratio
-0.6
Std Dev (1Y)
12.32%
Historical Returns (CAGR)
Annualized trailing returns computed from NAV history — past performance only, not a guarantee of future results.
1m
+4.15%
3m
+8.83%
6m
-4.62%
1y
-2.44%
3y
+9.47%
5y
+7.19%
10y
—
since inception
+12.22%
rate_review TopFund's Take on Axis ESG Integration Strategy Fund - Regular Plan - Growth Option
Axis ESG Integration Strategy Fund - Regular Plan - Growth Option lags behind most of its peers in the Sectoral/ Thematic category, currently carrying a 1-star rating. TopFund's composite Health Score, which weighs rating, 3-year CAGR, expense ratio and fund size, puts it at 45/100.
Cost: At 1.33%, the expense ratio runs 23% above the Sectoral/ Thematic category average of 1.08%. That gap is worth weighing against the fund's actual performance versus cheaper peers before committing to a long SIP.
Risk-adjusted performance: Over the trailing 1-year period, the fund shows a negative Sharpe ratio of -0.6 — over the past year, returns haven't kept pace with the volatility involved, even before accounting for the risk-free rate. Separately, annualised volatility of 12.32% is fairly typical for actively managed equity funds.
Who should invest: This fund is best suited to investors whose goals and risk appetite align with a Equity fund. Given the Very High risk rating, this fund is not suited to short-term goals or investors who may need to exit within 2-3 years.
This is an automated, data-driven analysis based on the fund's own metrics and its category peers — not personalized investment advice. Consult a SEBI-registered advisor before investing.
donut_small Sector Allocation
pie_chart Asset Allocation
info Fund Snapshot
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tips_and_updates Tools & Guides for This Fund
Frequently Asked Questions about Axis ESG Integration Strategy Fund - Regular Plan - Growth Option
The current NAV (Net Asset Value) of Axis ESG Integration Strategy Fund - Regular Plan - Growth Option is ₹20.67. NAV is updated every business day after market close by AMFI.
1Y: -2.44% · 3Y CAGR: 9.47% · 5Y CAGR: 7.19%
The expense ratio is 1.33% per annum — the annual fee deducted from your investment to cover fund management costs.
Axis ESG Integration Strategy Fund - Regular Plan - Growth Option is managed by Jinesh Gopani at Axis Mutual Fund.
Axis ESG Integration Strategy Fund - Regular Plan - Growth Option is a Very High risk fund. Suitable for aggressive investors with a 5+ year horizon.
Axis ESG Integration Strategy Fund - Regular Plan - Growth Option is a Sectoral/ Thematic fund. SIP suitability depends on your investment goal and risk profile.
The Assets Under Management (AUM) of Axis ESG Integration Strategy Fund - Regular Plan - Growth Option is ₹1,072 crore as of the latest data.
* Past performance is not indicative of future results. Mutual fund investments are subject to market risks.