AMFI scheme code 141925
Axis Flexi Cap Fund
Axis Mutual Fund · Equity Scheme - Flexi Cap Fund
Latest NAV
Available after the next scheduled refresh
Static metrics use NAV data as of 2026-07-09; computed 2026-07-10.
1-year return
1.53%
As of NAV 2026-07-09
3-year CAGR
13.83%
As of NAV 2026-07-09
5-year CAGR
11.12%
As of NAV 2026-07-09
Volatility
15.9%
As of NAV 2026-07-09
Sharpe ratio (3Y)
0.46
As of NAV 2026-07-09
Calmar 3Y
0.74
As of NAV 2026-07-09
Down capture
105.22%
As of NAV 2026-07-09; vs category composite (proxy)
Up capture
103.56%
As of NAV 2026-07-09; vs category composite (proxy)
Information ratio
0.09
As of NAV 2026-07-09; vs category composite (proxy)
Consistency 3Y
67.65%
As of NAV 2026-07-09; vs category composite (proxy)
Consistency 5Y
75%
As of NAV 2026-07-09; vs category composite (proxy)
Maximum drawdown
-29.87%
As of NAV 2026-07-09
Source and methodology. NAV data is sourced from AMFI via mfapi.in. Return and risk figures are calculated from historical NAVs and are not recommendations or personalized investment advice.