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Rajesh K.
RK
AMFI Registered Distributor · ARN-149832
BYLD Score
812
Portfolio health: Excellent
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Holdings View all
AX
Axis Bluechip Fund
Large Cap · Equity
₹2,45,000
+12.4%
SB
SBI Small Cap Fund
Small Cap · Equity
₹1,82,500
+18.7%
HD
HDFC Corporate Bond
Corporate Bond · Debt
₹3,10,000
+7.2%
As your distributor, we earn trail commission from AMCs. This does not affect your returns. Full disclosure available.
Mutual fund investments are subject to market risks. Read all scheme-related documents carefully before investing.
1 — Distribution Home
Mutual Funds
ARN-149832 · AMFI Registered
Categories
Equity
Large, mid, small, multi, flexi cap
1,240
Debt
Corporate bond, gilt, liquid, overnight
860
Hybrid
Balanced advantage, aggressive, conservative
420
ELSS (Tax Saver)
3-year lock-in, Sec 80C benefits
38
Liquid
Ultra-short duration, park idle cash
30
Curated Lists
BYLD Picks
Core Equity Portfolio
5 handpicked large cap funds for long-term wealth
Tax Saver
Smart ELSS Collection
Best performing tax-saving funds with 3Y lock-in
Mutual fund investments are subject to market risks. Read all scheme-related documents carefully before investing.
2 — MF Category Listing
Equity Funds
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Large Cap
Mid Cap
Small Cap
Multi Cap
Flexi Cap
1,240 funds
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Axis Bluechip Fund - Growth
Axis AMC · AUM ₹34,200 Cr
1Y
+14.2%
3Y
+18.6%
5Y
+16.8%
Exp.
0.49%
Large Cap Growth
Moderate
SBI Small Cap Fund - Growth
SBI AMC · AUM ₹22,800 Cr
1Y
+22.1%
3Y
+28.4%
5Y
+24.3%
Exp.
0.68%
Small Cap Growth
High
PPFAS Flexi Cap Fund - Growth
PPFAS AMC · AUM ₹48,600 Cr
1Y
+19.7%
3Y
+22.1%
5Y
+21.5%
Exp.
0.63%
Flexi Cap Growth
High
Mutual fund investments are subject to market risks. Read all scheme-related documents carefully before investing.
3 — MF Fund Listing
Fund Details
Axis Bluechip Fund - Growth
Axis AMC · Large Cap · ★★★★★
NAV
₹52.34
AUM
₹34.2K Cr
Expense
0.49%
Returns
Period Fund Benchmark Category
1 Year +14.2% +12.8% +11.5%
3 Years +18.6% +15.4% +14.2%
5 Years +16.8% +14.1% +13.5%
Since Inception +15.2% +12.9% +12.1%
Performance
1M
6M
1Y
3Y
5Y
All
Fund
Nifty 50
Top 10 Holdings
HDFC Bank Ltd 9.2%
ICICI Bank Ltd 8.1%
Infosys Ltd 7.4%
Reliance Industries 6.8%
TCS Ltd 5.9%
Bharti Airtel 4.5%
L&T Ltd 4.1%
Kotak Mahindra Bank 3.8%
HUL Ltd 3.2%
Asian Paints 2.8%
Sector Allocation
Financial Services 34.2%
Information Technology 19.8%
Consumer Goods 13.6%
Industrial 10.2%
Energy & Others 22.2%
Fund Manager
SK
Shreyash Devalkar
18 years experience · Managing since 2018
Mutual fund investments are subject to market risks. Read all scheme-related documents carefully before investing. Past performance is not indicative of future returns.
Mutual fund investments are subject to market risks.
4 — MF Detail Page