Asian Paints

2510.8 -12.70

Cipla

1501.3 -38.80

Eicher Motors

7007 118.00

Nestle India

1271.6 -8.30

Grasim Inds

2891.7 -58.70

Hindalco Inds.

847.85 -13.50

Hind. Unilever

2465.5 -4.10

ITC

420.35 1.60

Trent

4694.3 -50.20

Larsen & Toubro

4030.9 43.40

M & M

3487.2 -14.90

Reliance Industr

1486.4 -2.10

Tata Consumer

1165 -11.60

Tata Motors PVeh

410 -2.45

Tata Steel

182.84 -1.51

Wipro

240.67 -1.25

Apollo Hospitals

7681 -109.00

Dr Reddy's Labs

1197.6 -4.60

Titan Company

3746.7 -4.00

SBI

937 2.65

Shriram Finance

748.9 10.65

Bharat Electron

426.1 16.20

Kotak Mah. Bank

2102.2 -35.00

Infosys

1482.3 -11.50

Bajaj Finance

1042.8 -9.50

Adani Enterp.

2481 -45.90

Sun Pharma.Inds.

1690.7 -12.70

JSW Steel

1206 -4.00

HDFC Bank

987.3 -10.85

TCS

3058 22.70

ICICI Bank

1345.3 -17.10

Power Grid Corpn

288.15 -3.35

Maruti Suzuki

16186 -20.00

Axis Bank

1232.8 -5.80

HCL Technologies

1541.5 -8.30

O N G C

255.37 0.84

NTPC

336.95 -8.20

Coal India

388.65 0.95

Bharti Airtel

2054.5 -11.80

Tech Mahindra

1424.4 -9.40

Adani Ports

1451.5 -6.40

HDFC Life Insur.

731.85 -14.75

SBI Life Insuran

1955.7 -12.70

Max Healthcare

1147.8 -30.70

UltraTech Cem.

11947 -106.00

Bajaj Auto

8892.5 -30.50

Bajaj Finserv

2088.3 -26.30

Interglobe Aviat

5625 -100.00

Eternal Ltd

317.75 -11.60

Mutual Funds   
MF ANALYSIS
Scheme Profile
 
AXIS Quant Fund (IDCW)
Inception Date 01-Jul-2021
Invest Now
15.79
31-Oct-2025
 / 
Net Assets ()
903.24
Fund TYpe:
O
Category
Equity - Diversified
AMC
Axis Mutual Fund
Fund Manager:
Karthik Kumar
Entry Load:
Nil
Exit Load
If redeemed / switched-out within 3 months from the date of allotment - For 10% of investment: Nil For remaining investment: 1%, If redeemed / switched out after 3 months from the date of allotment: Nil
Performance(%)
Particulars 1 Week 1 Month 3 Month 6 Month 1 Year 3 Year 5 Year Since Inception
Scheme Return 0.00 2.87 0.64 4.22 -4.24 12.05 NA 11.11
Category Avg 0.21 3.76 3.18 9.71 3.82 18.55 22.96 15.28
Category Best 3.51 7.41 10.36 22.07 20.08 32.77 36.00 47.59
Category Worst -7.03 -3.89 -5.62 -3.47 -14.47 2.44 9.45 -20.20
BSE 200 TRI 7.12 -2.87 -10.76 6.22 14.07 26.50 13.06 5.31
Latest Payouts
Particulars Dividends Bonus
Ratio NA NA
Record Date NA NA
STATISTICAL RATIOS
Beta [%] SD Sharpe Ratio [%] Jensons Alpha [%] TR [%]
1.0651 3.9968 0.4879 0.2547 -0.0761
What is Beta ? Beta is a measure of the volatility of the portfolio to that of the index. In simple words it shows the movement of the portfolio in comparison. The Higher the Beta, higher the volatility of the scheme to the index. If its greater than1 , then the portfolio is highly volatile to the movemnts in the index. If the beta is lesser than 1 , then scheme is less volatile to the index and beta which is close to 1 implies that the scheme is closely following the index.
Asset Allocation


Sector Allocation


Holdings(%)
As on 30-Sep-2025
Company Name Sector Market Value Cr. No. Of Shares Hold(%)
HDFC Bank Banks 86.60 910660 9.59
ICICI Bank Banks 82.97 615528 9.19
Bharti Airtel Telecom-Service 62.56 333044 6.93
Bharat Electron Aerospace & Defence 35.38 875736 3.92
GE Vernova T&D Capital Goods - Electrical Equipment 34.13 115273 3.78
Interglobe Aviat Air Transport Service 33.86 60531 3.75
B P C L Refineries 31.80 936299 3.52
SBI Life Insuran Insurance 29.59 165275 3.28
Britannia Inds. FMCG 29.50 49239 3.27
H P C L Refineries 28.12 634157 3.11

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