Axis NASDAQ 100 Fund of Funds Direct Growth

Scheme code: INF846K012K9 NAV value: ₹ 19.6677 NAV date: 28 January, 2025
Fund option: Direct Fund type: Growth
Asset class: Other Asset category: FoF Overseas

Rolling returns

Summary

Duration Min (%) Max (%) Average XIRR (%) Category average XIRR (%)
1 year 16.75 61.92 35.95 18.55

Comparison vs benchmark returns

Index Metrics
NIFTY 50
Duration Min (%) Max (%) Average return (%) Fund's return (%)
1 year 3.31 36.8 23.16 35.95
3 year 7.63 16.87 13.32
5 year 12.6 19.62 15.37
7 year 10.81 15.2 13.42
10 year 9.81 13.99 12.12
NIFTY 100
Duration Min (%) Max (%) Average return (%) Fund's return (%)
1 year 4.39 43.15 27.99 35.95
3 year 7.94 17.89 14.14
5 year 13.28 20.23 15.93
7 year 10.62 15.28 13.42
10 year 10.08 14.47 12.61
NIFTY 200
Duration Min (%) Max (%) Average return (%) Fund's return (%)
1 year 4.97 45.4 30.7 35.95
3 year 9.26 19.51 15.7
5 year 14.45 21.69 17.28
7 year 11.07 15.88 13.98
10 year 10.64 15.2 13.25
NIFTY 500
Duration Min (%) Max (%) Average return (%) Fund's return (%)
1 year 5.16 46.61 32.69 35.95
3 year 9.84 20.48 16.73
5 year 15.2 22.82 18.38
7 year 11.31 16.28 14.37
10 year 11.16 15.89 13.85
NIFTY500 MULTICAP 50:25:25
Duration Min (%) Max (%) Average return (%) Fund's return (%)
1 year -68.54 302.46 219.33 35.95
10 year 4.92 20.34 12.6

Rolling return for 1 year

Average return: 35.95%
Min Max Min-Max Max-Min Standard Deviation Mean From To
35.9 32.56 42.1 26.78 5.54 34.34 12-2023 12-2024
38.7 32.86 46.35 25.91 7.52 35.96 11-2023 11-2024
39.36 35.06 45.19 29.63 5.71 37.31 10-2023 10-2024
27.61 30.33 37.72 20.76 6.07 29.1 09-2023 09-2024
24.08 28.21 36.26 16.75 7.05 26.32 08-2023 08-2024
27.58 30.99 38.06 21.05 6.14 29.42 07-2023 07-2024
29.59 33.32 39.85 23.54 5.92 31.57 06-2023 06-2024
35.64 30.91 46.18 21.47 8.9 33.55 05-2023 05-2024
34.25 40.8 43.64 31.59 4.85 37.57 04-2023 04-2024
48.52 41.63 54.32 36.3 6.82 45.19 03-2023 03-2024
43.13 40.69 49.78 34.44 5.49 42.01 02-2023 02-2024
51.06 46.5 61.92 36.68 9.07 49.04 01-2023 01-2024