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Axis ELSS Tax Saver Fund Direct Growth

Direct Plan · GrowthELSS (Tax Saver)Axis Mutual Fund
₹105.337
+0.50% 1D · NAV as of 5 Oct 2026
Fund size
₹31,318 Cr
Launched
2 Jan 2013
Volatility (3Y)
13.4%
Worst fall (5Y)
-28.0%
Featured in: Funds for Beginners

NAV history

Returns

PeriodReturnType
1 month-5.62%Absolute
6 months+8.02%Absolute
1 year-2.58%CAGR
3 years+9.34%CAGR
5 years+4.65%CAGR
10 years+11.55%CAGR
Since launch+15.21%CAGR · from 2 Jan 2013

CAGR = annualised return. Periods under a year are absolute. Returns are NAV-based and before any exit load or tax.

If you had started a ₹10,000 SIP

3 years ago
Invested
₹3,60,000
Value today
₹3,71,356
XIRR
+2.13%
5 years ago
Invested
₹6,00,000
Value today
₹7,10,035
XIRR
+6.86%

Assumes ₹10,000 invested on the first NAV date of every month. Try your own numbers in the SIP calculator.

Top holdings

As of Aug 2026 · 68 holdings · top 10 = 36.9%
CompanySectorWeight
ICICI BankFinancial Services7.02%
HDFC BankFinancial Services5.55%
Bharti AirtelTelecom4.26%
Bajaj FinanceFinancial Services3.42%
EternalConsumer Discretionary3.24%
Larsen & ToubroIndustrials2.90%
Divi's LaboratoriesHealthcare2.71%
Axis BankFinancial Services2.63%
Pidilite IndustriesMaterials2.62%
Mahindra & MahindraAutomobiles2.57%
Cholamandalam Investment and Finance CompanyFinancial Services2.39%
State Bank of IndiaFinancial Services2.37%
Ultratech CementMaterials2.28%
Kotak Mahindra BankFinancial Services2.10%
PB FintechFinancial Services1.99%
Sector mix
Financial Services31.8%
Industrials11.5%
Materials9.9%
Healthcare9.7%
Automobiles9.3%
Consumer Discretionary9.2%
IT5.0%
Telecom4.3%

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About this fund

An ELSS (Equity Linked Savings Scheme) invests at least 80% in equities and qualifies for a Section 80C deduction under the old tax regime, with a 3-year lock-in on each investment.

SEBI category: Equity Schemes - ELSS- Tax Saver Fund · ISIN INF846K01EW2

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Mutual fund investments are subject to market risks, read all scheme related documents carefully. Past performance is not indicative of future returns. NAV data: AMFI, via the open TigZig MF NAV API, as of 5 Oct 2026. Fund size: AMFI quarterly average AUM. Holdings: each AMC’s SEBI-mandated monthly portfolio disclosure. Shown for information only — not a recommendation to buy, sell or hold any scheme.