Which funds are similar to Axis Multi Asset Allocation Direct Plan-Growth?
Funds similar to Axis Multi Asset Allocation Direct Plan-Growth in the Hybrid: Multi Asset Allocation category are listed in the Similar Funds tab, selected based on same category and benchmark index.
How does Axis Multi Asset Allocation Direct Plan-Growth compare to the category average?
The comparison of Axis Multi Asset Allocation Direct Plan-Growth against the Hybrid: Multi Asset Allocation category average — returns, alpha, beta and Sharpe — is shown in the Category vs Scheme Returns section at the top of the Similar Funds tab.
What is the rank of Axis Multi Asset Allocation Direct Plan-Growth in its category?
The rank of Axis Multi Asset Allocation Direct Plan-Growth within the Hybrid: Multi Asset Allocation category is shown in the Trailing Returns section on the Performance tab and the Similar Funds tab.
What are the alternatives to Axis Multi Asset Allocation Direct Plan-Growth?
Top alternatives to Axis Multi Asset Allocation Direct Plan-Growth in the Hybrid: Multi Asset Allocation category, sorted by AUM, are listed in the Similar Funds tab.
How does Axis Multi Asset Allocation Direct Plan-Growth's expense ratio compare to similar funds?
The expense ratio of Axis Multi Asset Allocation Direct Plan-Growth is 1.44%. Over a 20-year investment, a 0.5% difference in expense ratio on a ₹10 lakh corpus can amount to lakhs in additional wealth creation.
How does Axis Multi Asset Allocation Direct Plan-Growth's AUM compare to similar funds?
Axis Multi Asset Allocation Direct Plan-Growth has an AUM of ₹ 2.29 k Cr. AUM reflects investor confidence. For small cap funds, very large AUM can limit portfolio flexibility.
Which fund has the best 3-year returns in the Hybrid: Multi Asset Allocation category?
The top-performing funds by 3-year returns in the Hybrid: Multi Asset Allocation category can be found by sorting the Similar Funds comparison table by the 3Y column.
Is Axis Multi Asset Allocation Direct Plan-Growth better than index funds in the same category?
Whether Axis Multi Asset Allocation Direct Plan-Growth beats index funds in the Hybrid: Multi Asset Allocation category can be assessed by comparing its trailing returns against the benchmark returns in the Performance tab. Historically, active funds in India have shown mixed results vs index funds — large cap active funds tend to underperform index funds over 10 years, while mid/small cap active managers have often added alpha.
How does Axis Multi Asset Allocation Direct Plan-Growth rank in risk-adjusted returns vs peers?
Axis Multi Asset Allocation Direct Plan-Growth has a Sharpe ratio of 0.81. A Sharpe of 0.81 means the fund generates moderate returns per unit of risk. Risk-adjusted comparison across category peers — Sharpe, alpha and beta — is shown in the Alpha, Beta & Sharpe section of the Performance tab.
Are there any funds tracking the same benchmark with lower costs?
Funds in the same category as Axis Multi Asset Allocation Direct Plan-Growth are listed in the Similar Funds tab. Use the expense ratio column to identify lower-cost alternatives offering similar market exposure.