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NIFTY 5022,453.30
BANK NIFTY48,892.15
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SENSEX74,235.62
NIFTY 5022,453.30
BANK NIFTY48,892.15
NIFTY IT35,124.80
GOLD₹74,812
SILVER₹92,140
CRUDE OIL$83.42
USD/INR₹83.24
BITCOIN$67,234
NIFTY MIDCAP52,487.25
HomeMutual FundsAxis Long Term Equity Fund

Axis Long Term Equity Fund

Axis Mutual Fund·ELSS (Tax Saver)·Very High Risk

NAV

82.18

28 Apr 2026

1Y Returns

+20.8%

AUM

₹34,248 Cr

Fund Manager: Shreyash Devalkar

Standard Deviation

16.8%

Volatility of returns. Lower is more stable.

Beta

0.92

Sensitivity to market moves. <1 = less volatile than market.

Sharpe Ratio

1.48

Risk-adjusted return. Higher is better.

Alpha

2.84%

Excess return over benchmark. Higher is better.

Sortino Ratio

1.94

Return per unit of downside risk. Higher is better.

Max Drawdown

-24.2%

Worst peak-to-trough decline.