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Overlap AnalysisRisk ProfilingFund Recommendations
Other Scheme - Index FundsRegular Plan

Axis Nifty 100 Index Fund Option

Axis Mutual Fund

Current NAV

₹21.4835

▲ +1.00% (1Y)

As of 31-08-2026

Fund Size

Expense Ratio

Min SIP

Min Lumpsum

ISIN

Launched

Benchmark

Exit Load

Regular Plan

Curated and distributed through AMFI-registered distributors. Invest with confidence — Finadore · ARN-300809.

Trailing Returns

1W

0.55%

1M

0.96%

3M

3.78%

6M

1.00%

1Y

1.00%

3Y CAGR

9.37% p.a.

5Y CAGR

7.96% p.a.

Since Inception

NAV History

31-0824-1015-1205-0230-0322-0514-07₹19.00₹20.00₹21.00₹22.00₹23.00
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Tax Treatment

FY 2024-25 onward

< 1 Year

20% Short Term Capital Gains (STCG)

> 1 Year

12.5% Long Term Capital Gains (LTCG) above ₹1.25L

ELSS

3-year lock-in. LTCG applies after lock-in

Tax rates are applicable on capital gains at the time of redemption. Dividends are taxed at applicable income tax slab rates. Consult a tax advisor for personalized advice.

Disclaimer: Mutual fund investments are subject to market risks. Read all scheme-related documents carefully. Past performance is not indicative of future returns. Returns above 1 year are CAGR. NAV data: AMFI India. Holdings & ratios: mfdata.in. Finadore is an AMFI-registered Mutual Fund Distributor (ARN-300809).

Fund Information

Fund HouseAxis Mutual Fund
CategoryOther Scheme - Index Funds
TypeOpen Ended Schemes
PlanRegular Plan
Launch Date23-10-2019
Scheme Code147665

Invest with Finadore

Expert guidance, SIP setup and portfolio review. AMFI Registered · ARN-300809

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Investment Returns Calculator

What ₹X invested in Axis Nifty 100 Index Fund Option in the past would be worth today

₹10,000

Amount Invested

₹10,000

on 01-09-2023

Current Value

₹13,080

as of 31-08-2026

Total Gain

+₹3,080

Absolute Return

+30.8%

CAGR

+9.37% p.a.

Bought @ ₹16.4251 · 608.8243 unitsCurrent NAV ₹21.4835

* Based on actual historical NAV data. Past performance is not indicative of future returns. Assumes lumpsum investment.

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