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Axis Multi-Asset Active FoF Reg Gr

FoF (Overseas/Domestic)Axis Mutual Fund

NAV

₹10.80

-0.30% today

AUM

₹1,390.78 Cr

Fund size

Expense

1.44%

Regular plan

Min SIP

₹100

per month

Min Lumpsum

₹100

one-time

Exit Load

1.0

on redemption

Fund snapshot

Category rank--
Risk-o-meterVery High Risk
BenchmarkNifty 500 TRI (45%) + Nifty Composite Debt Index TR INR (45%) + Domestic Price of Physical Gold INR (5%) + Domestic Price of Physical Silver (5%)
Number of holdings0
Inception11 Dec 2025
Exit load1.0

Risk metrics

Alpha0
Beta0
Sharpe ratio0
Standard deviation0.00%
Sortino ratio0

Capital gains tax

Hybrid

STCG · short-term

Slab Rate

Short-term gains taxed at slab rate

Non-equity-oriented hybrid fund gains are taxed at your income slab rate.

LTCG · long-term

Slab Rate

Long-term gains taxed at slab rate

Non-equity-oriented hybrid fund gains are taxed at your income slab rate.

Hybrid fund taxation depends on equity orientation and holding period; this scheme is treated as non-equity-oriented.

Fund managers

DS

Since Dec 2025

AUM managed

₹1,27,842.03Cr

Tenure

Since Dec 2025

Funds

23

About Axis Multi-Asset Active FoF Reg Gr

Axis Multi-Asset Active FoF Reg Gr is an open-ended FoF (Overseas/Domestic) mutual fund scheme offered by Axis Mutual Fund under the regular plan with the growth option. Its latest net asset value (NAV) is ₹10.80 per unit and the scheme manages ₹1,390.78 Cr in assets under management. The fund charges an expense ratio of 1.44% and is benchmarked against Nifty 500 TRI (45%) + Nifty Composite Debt Index TR INR (45%) + Domestic Price of Physical Gold INR (5%) + Domestic Price of Physical Silver (5%). SEBI's riskometer places this scheme in the Very High Risk category, so read the scheme information document before investing.

Investment objective

The investment objective of the Scheme is to provide long-term capital appreciation by actively managing a portfolio of equity oriented and debt oriented mutual fund schemes and commodity based ETFs.

Regular Plan · Growth option · NAV as of 11 Sept 2026

Axis Multi-Asset Active FoF Reg Gr returns

Trailing returns. Periods above one year are annualised (CAGR); one year and below are absolute.
PeriodFund
1 month-0.56%
3 months+6.15%
6 months+6.03%
1 year0.00%
3 years0.00%
5 years0.00%

Rolling returns

Average return across every rolling window of this length over the fund's history.
PeriodFund
1 month0.00%
3 months+5.10%
6 months+4.29%
1 year0.00%
3 years0.00%
5 years0.00%

Past performance is not indicative of future returns. Mutual fund investments are subject to market risks; read all scheme related documents carefully.

Axis Multi-Asset Active FoF Reg Gr — frequently asked questions

What is the NAV of Axis Multi-Asset Active FoF Reg Gr?

The latest net asset value (NAV) of Axis Multi-Asset Active FoF Reg Gr is ₹10.80 per unit, -0.30% over the previous trading day. NAV is declared by the AMC at the end of every business day.

What is the expense ratio of Axis Multi-Asset Active FoF Reg Gr?

Axis Multi-Asset Active FoF Reg Gr charges an expense ratio of 1.44% per annum. The expense ratio is deducted from the scheme's assets, so the NAV you see is already net of it.

How risky is Axis Multi-Asset Active FoF Reg Gr?

SEBI's riskometer classifies Axis Multi-Asset Active FoF Reg Gr as Very High Risk, which is typical for a FoF (Overseas/Domestic) scheme. Match the scheme's risk level to your own risk tolerance and investment horizon before investing.

What is the minimum investment in Axis Multi-Asset Active FoF Reg Gr?

You can start a SIP in Axis Multi-Asset Active FoF Reg Gr from ₹100 per month, and the minimum lumpsum investment is ₹100.

Who manages Axis Multi-Asset Active FoF Reg Gr?

Axis Multi-Asset Active FoF Reg Gr is managed by Axis Mutual Fund, holds ₹1,390.78 Cr in assets under management and invests across 0 holdings. This page covers the regular plan with the growth option.

Scheme identifiers

Scheme category
Hybrid
Scheme sub-category
FoF (Overseas/Domestic)
Plan
Regular plan
Option
Growth
ISIN
INF846KA1333
Scheme code
FS0000KF7L

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