
Axis NIFTY IT ETF-Growth
Equity: Sectoral-Technology - Growth (Open ended) Factsheet
SEBI Riskometer: Very HighCategory: Equity: Sectoral-TechnologyBenchmark: NIFTY IT Total Return Index
₹311.47+0.82%
24 Jul 2026
Tracking Difference
Annualised return gap between Axis NIFTY IT ETF-Growth and its benchmark index over 1Y, 3Y, 5Y and 10Y periods, compared to the average of all funds tracking the same benchmark.
| Name | 1 Y | 3 Y | 5 Y | 10 Y |
|---|---|---|---|---|
| Fund | -0.08% | -0.24% | -0.24% | - |
| Avg. of funds with same benchmark | -0.08% | -0.24% | -0.24% | - |
Rolling Returns Analysis
Rolling annualized returns of Axis NIFTY IT ETF-Growth across 1Y, 3Y and 5Y windows — average, best, worst returns and percentage of positive return periods.
| Metric | 1 Yr Rolling Returns | 3 Yr Rolling Returns | 5 Yr Rolling Returns | 7 Yr Rolling Returns |
|---|---|---|---|---|
| Analysis period | 06 Apr, 2022 - 24 Jul, 2026 | 15 Apr, 2024 - 24 Jul, 2026 | 13 Apr, 2026 - 24 Jul, 2026 | - |
| Average returns | 4.09% | 7.88% | 3.06% | - |
| Standard deviation | 19.47% | 3.90% | 1.54% | - |
| Best returns | 41.64% 1 year ending on 03 Sep, 2024 | 15.50% 3 years ending on 26 Jun, 2025 | 5.85% 5 years ending on 15 Apr, 2026 | - |
| Worst returns | -32.29% 1 year ending on 01 Jul, 2026 | -1.89% 3 years ending on 01 Jul, 2026 | -0.09% 5 years ending on 01 Jul, 2026 | - |
| Period with positive return | 52.75% | 95.98% | 98.61% | - |
| Period with return > 5% | 49.11% | 75.52% | 9.72% | - |
| Period with return > 10% | 40.43% | 37.59% | 0.00% | - |
| Period with return > 15% | 33.05% | 0.17% | 0.00% | - |
| Beat % Category | 23.62% | 9.27% | 31.94% | - |
| Beat % Benchmark | 40.15% | 34.97% | 15.28% | - |
Trailing Returns
Point-to-point returns of Axis NIFTY IT ETF-Growth vs category average for YTD, 1M, 6M, 1Y, 3Y, 5Y and 10Y periods — with category rank and total funds count.
-20%
-10%
0%
10%
-23.1%
-18.1%
-23.1%
YTD
4.5%
3.7%
4.6%
1 M
-24.2%
-16.9%
-24.1%
6 M
-18.8%
-14.7%
-18.6%
1 Y
0.6%
3.6%
0.9%
3 Y
1.0%
3.4%
1.3%
5 Y
15.3%
12.5%
10 Y
Fund
Equity: Sectoral-Technology
NIFTY IT Total Return Index
| Name | YTD | 1 M | 6 M | 1 Y | 3 Y | 5 Y | 10 Y | Since Inception |
|---|---|---|---|---|---|---|---|---|
| Fund | -23.15% | 4.55% | -24.20% | -18.76% | 0.62% | 1.03% | - | 3.92% |
| Equity: Sectoral-Technology | -18.07% | 3.73% | -16.89% | -14.74% | 3.57% | 3.36% | 15.26% | - |
| NIFTY IT Total Return Index | -23.10% | 4.59% | -24.15% | -18.63% | 0.88% | 1.28% | 12.51% | - |
| Rank in category | 24 | 10 | 24 | 24 | 15 | 8 | - | - |
| Funds in category | 33 | 34 | 33 | 33 | 17 | 10 | 5 | - |
Period Returns
Calendar-year, quarterly and monthly return history of Axis NIFTY IT ETF-Growth. Toggle between bar chart and table view to analyse periodic performance trends.
Historical Performance
Track NAV movement and cumulative returns of Axis NIFTY IT ETF-Growth across 1M, 6M, 1Y, 3Y, 5Y and since-inception periods. Compare SIP and lumpsum growth over time.
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Frequently Asked Questions
What are the 1-year returns of Axis NIFTY IT ETF-Growth?
Axis NIFTY IT ETF-Growth has delivered a 1-year return of -18.76% as of 23 Jul 2026. During the same period, its benchmark NIFTY IT Total Return Index returned -18.63%. The fund has underperformed its benchmark over this period.
What are the 3-year returns of Axis NIFTY IT ETF-Growth?
Axis NIFTY IT ETF-Growth has delivered a 3-year CAGR of 0.62% as of 23 Jul 2026. Its benchmark NIFTY IT Total Return Index returned 0.88% CAGR over the same period. CAGR (Compounded Annual Growth Rate) is the right way to evaluate multi-year ETF performance as it smooths out year-to-year volatility.
What are the 5-year returns of Axis NIFTY IT ETF-Growth?
Axis NIFTY IT ETF-Growth has delivered a 5-year CAGR of 1.03% as of 23 Jul 2026. Its benchmark NIFTY IT Total Return Index returned 1.28% CAGR over the same period. A 5-year track record is considered a more reliable indicator of fund quality than shorter-term performance, as it captures at least one full market cycle.
What are the returns of Axis NIFTY IT ETF-Growth since inception?
Since its launch on 30 Mar 2021, Axis NIFTY IT ETF-Growth has delivered a CAGR of 3.92%. Since-inception returns reflect the fund's full history and give the most complete picture of long-term performance.
How has Axis NIFTY IT ETF-Growth performed vs its category over the long term?
Over the long term, Axis NIFTY IT ETF-Growth has ranked 15 out of 17 funds in the Equity: Sectoral-Technology category on a 3-year basis, and 8 out of 10 funds on a 5-year basis. Category rank is one of several factors to consider alongside risk metrics and rolling return consistency when evaluating a fund.
What is the Sharpe ratio of Axis NIFTY IT ETF-Growth?
The Sharpe ratio of Axis NIFTY IT ETF-Growth is -0.23 (as of 23 Jul 2026). The Sharpe ratio measures how much return the fund generates per unit of risk (volatility) taken. A Sharpe ratio above 1.0 is generally considered good — the higher the ratio, the better the risk-adjusted return.
What is the alpha of Axis NIFTY IT ETF-Growth?
The 3Y alpha of Axis NIFTY IT ETF-Growth is 1.21% (as of 23 Jul 2026). Alpha measures the excess return generated by the fund over and above its benchmark NIFTY IT Total Return Index, after adjusting for risk. A positive alpha means the fund manager has added value beyond what the market delivered. A negative alpha means the fund has underperformed its benchmark on a risk-adjusted basis.
What is the beta of Axis NIFTY IT ETF-Growth?
The beta of Axis NIFTY IT ETF-Growth is 1.02 (as of 23 Jul 2026). Beta measures how sensitive the fund is to market movements relative to its benchmark NIFTY IT Total Return Index. A beta of 1 means the fund moves in line with the market. A beta above 1 means it is more volatile than the market; below 1 means it is less volatile. Axis NIFTY IT ETF-Growth's beta of 1.02 indicates it is more aggressive than its benchmark.
What are the rolling returns of Axis NIFTY IT ETF-Growth?
The average 1-year and 3-year rolling returns of Axis NIFTY IT ETF-Growth is 4.09% and 7.88% respectively. Rolling returns show the fund's annualized return across every possible 1-year and 3-year investment window, making them a far more reliable measure of consistency than point-to-point returns, which depend heavily on the start and end date chosen.