Mutual Fund Calculator

Monthly SIP Amount (₹)
Rate of Interest (% p.a.)
1
Time period (In years)
1
Total Invested 
Total Interest 
Total Amount after 5 years

Axis NASDAQ 100 FoF Regular-IDCW Payout

EquityInternationalPrincipal at very high risk
1 Year Ret 27.62%
1Y
2Y
3Y
5Y
10Y

Fund Details

NAV
18.8903
Sub-Type
International
Rating
Not Rated
Min. SIP Amount
100
Fund Age(Year)
2.20
Fund Size
180.54

Fund Performance

1 Month
-1.87%
3 Month
4.74%
6 Month
3.97%
1 Year
27.62%
3 Year
0%
5 Year
0%

Mutual Fund Calculator

Monthly SIP Amount (₹)
Rate of Interest (% p.a.)
1
Time period (In years)
1
Total Invested 
Total Interest 
Total Amount after 5 years

Take your next step

Click here to see your activities