Axis Money Market Fund Direct-Growth

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Debt, Money Market, Principal at low to moderate risk

1 Year Return 7.62% at 22 Dec 2025 06:29 PM

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Fund Details

NAV 1489.3307

Sub-Type Money Market

Rating 5

Min. SIP Amount ₹100.0

Fund Age(Year) 6.38

Fund Size(in Crores) 24193.73

Fund Performance

1 Month 0.44%

3 Month 1.5%

6 Month 3.07%

1 Year 7.62%

3 Year 7.68%

5 Year 6.33%

Know This Fund

As on 22 Dec 2025

Investment strategy that balances risk & reward by dividing the investment portfolio among different types of asset classes.

Equity (78.49%) Market Cap Large Cap 49.84 Mid Cap 1.56 Small Cap 27.09 Top Sectors Financial 27.35 Automobile 8.5 Services 6.31 Construction 6.04 Energy 5.51 Communication 5.04 Insurance 4.06 Materials 3.81 Chemicals 2.63 Technology 1.98 Healthcare 1.91 Metals & Mining 1.82 Consumer Staples 1.79 Consumer Discretionary 0.99 Capital Goods 0.76 Top Holding Infosys 0.99 Shakti Pumps (India) 0.76 Sumitomo Chemical India 0.51 Godrej Agrovet 0.64 Tata Steel 1.82 Manappuram Finance 1.79 Sagility 1.55 Tata Consultancy 0.99 Sharda Motor Industries 0.82 Coal India 2.05 Atul 0.47 Sandhar Technologies 1.46 State Bank of India 4.6 NTPC 1.15 Aptus Value Housing Finance India 0.83 Ambuja Cements 1.76 TCI Express 0.41 Senco Gold 0.99 Indiqube Spaces 1.71 Astrazeneca Pharma India 0.48 TeamLease Services 0.48 Pfizer 0.47 Maruti Suzuki India 1.28 Bharti Airtel 5.04 Awfis Space Solutions 1.27 Cholamandalam Financial 1.69 Ashok Leyland 0.67 Power Fin. Corp. 0.94 Five-Star Business Finance 1.91 Aether Industries 0.55 Container Corporation Of India 0.89 Gillette India 1.14 Steel Strips Wheels 1.11 SBI Life Insurance Company 4.06 Axis Bank 2.94 Paradeep Phosphates 1.11 Larsen & Toubro 4.21 ICICI Bank 5.61 Shriram Pistons & Rings 1.25 Yatharth Hospital & Trauma Care Services 0.97 HDFC Bank 7.04 Hyundai Motor 1 Sobha 1.83 GNA Axles 0.91 Reliance Industries 4.36

Debt & Others (21.509999999999998%) Sector Allocation CBLO 17.18 Net Receivables 4.33 Debt Credit Ratings Debt Category Others 21.51

Comparison with same funds

Equity, Flexi Cap funds Aditya Birla Sun Life Large Cap Fund Regular-Growth Ret 1M -0.28% Ret 1Y 7.22% Ret 3Y 14.9% Ret 5Y 15.78%

Equity, Flexi Cap funds Aditya Birla Sun Life Large Cap Fund Regular-IDCW Ret 1M -0.28% Ret 1Y 7.22% Ret 3Y 14.9% Ret 5Y 15.78%

Equity, Flexi Cap funds Aditya Birla Sun Life Large Cap Fund Regular-IDCW Reinvestment Ret 1M -0.28% Ret 1Y 7.22% Ret 3Y 14.9% Ret 5Y 15.78%

Equity, Flexi Cap funds Aditya Birla Sun Life Nifty 50 Equal Weight Index Fund Regular-Growth Ret 1M -0.64% Ret 1Y 10.97% Ret 3Y 15.99% Ret 5Y 0%

Equity, Flexi Cap funds Aditya Birla Sun Life Nifty 50 Equal Weight Index Fund Regular-IDCW Ret 1M -0.64% Ret 1Y 10.97% Ret 3Y 15.99% Ret 5Y 0%

Equity, Flexi Cap funds Aditya Birla Sun Life Nifty 50 Equal Weight Index Fund Regular-IDCW Reinvestment Ret 1M -0.64% Ret 1Y 10.97% Ret 3Y 15.99% Ret 5Y 0%

Equity, Flexi Cap funds Aditya Birla Sun Life Nifty 50 Index Fund Regular-Growth Ret 1M -0.33% Ret 1Y 9.24% Ret 3Y 12.81% Ret 5Y 14.17%

Equity, Flexi Cap funds Aditya Birla Sun Life Nifty 50 Index Fund Regular-IDCW Ret 1M -0.33% Ret 1Y 9.24% Ret 3Y 12.81% Ret 5Y 14.17%

Equity, Flexi Cap funds Aditya Birla Sun Life Nifty 50 Index Fund Regular-IDCW Reinvestment Ret 1M -0.33% Ret 1Y 9.24% Ret 3Y 12.81% Ret 5Y 14.17%

Equity, Flexi Cap funds Aditya Birla Sun Life Nifty Next 50 Index Fund Regular-Growth Ret 1M -1.85% Ret 1Y -3.45% Ret 3Y 15.82% Ret 5Y 0%

Equity, Flexi Cap funds Aditya Birla Sun Life Nifty Next 50 Index Fund Regular-IDCW Ret 1M -1.85% Ret 1Y -3.45% Ret 3Y 15.82% Ret 5Y 0%

Charges & Taxes Expense Ratio

Returns are taxed as per your Income Tax Slab.

Expense Ratio (Inclusive of GST): 0.17%

Exit Load 0%

Stamp Duty 0.005%

Fund Management

The various expenses, charges and taxes associated with your Mutual Fund

Sachin Jain

Education Mr. Jain is a B.Tech, AGMP (Management)

Experience Prior to joining Axis Asset Management Company Ltd., he has worked with Sundaram Mutual Fund, I- Cap, Sunidhi securities and Finance Ltd.

Devang Shah

Education Mr. Shah is B.Com and ACA.

Experience Prior to joining Axis AMC he has worked with ICICI Prudential AMC, Deutsche Asset Management (India) Pvt. Ltd. and Pricewaterhouse Coopers.

Aditya Pagaria

Education Mr. Pagaria is a Bachelor in Management Studies and holds a Post Graduate Diploma in Business Management from Institute Of Technology And Management, SK Somaiya College.

Experience Prior to joining Axis AMC he was associated with ICICI Prudential AMC (Nov 2011-Jul 2016) as Fund Manager - Fixed Income Operations.

Riskometer

Mutual Fund Investments are subject to market risk. Read all scheme related documents carefully.

Principal at low to moderate risk

AMC and Fund details

Rank (total sets) 3

Date of Incorporation 2019-08-06

Total AUM 2025-11-30

The Scheme Seeks to generate returns from a portfolio of pure debt oriented funds accessed through the diverse investment styles of underlying schemes selected in accordance with the BSLAMC process.

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