Axis Infrastructure Fund - Direct Plan - Growth returns analysis 2026
Axis Infrastructure Fund - Direct Plan - Growth ki returns ko samjhne ke liye, hum isse benchmark Nifty Infrastructure TRI se compare karte hain. Is fund ki 1 saal ki return -1.51% hai, jo ki thodi disappointing hai, lekin 3 saal aur 5 saal ke returns, 17.15% aur 14.33% hai, jo ki acchi baat hai.
Aayiye isse ek table ke through dekhte hain:
| Time Period |
Axis Infrastructure Fund - Direct Plan - Growth |
Nifty Infrastructure TRI |
| 1 Year |
-1.51% |
Data not available |
| 3 Years |
17.15% |
Data not available |
| 5 Years |
14.33% |
Data not available |
Consistency ke liye, 3-year aur 5-year returns achhe hain, jo ye dikhata hai ki long-term mein ye fund accha perform kar sakta hai. Lekin, 1-year return negative hai, jo thoda concern hai.
Ye bhi dekhna zaroori hai ki fund manager ka impact bhi hota hai. Shreyash Devalkar ka experience aur investment strategy is fund ki performance ko affect karte hain. Unka focus long-term potential par hai, jo investors ko steady growth ki ummeed deta hai.
⚠️ Disclaimer: Educational only. Mutual funds are subject to market risks. Past performance does not guarantee future returns. Consult your SEBI-registered advisor.
Axis Infrastructure Fund - Direct Plan - Growth top holdings and portfolio allocation
Axis Infrastructure Fund - Direct Plan - Growth ke top holdings mein kuch well-known companies hain, jaise HDFC Bank Ltd. (5.8%), ICICI Bank Ltd. (5.2%), Larsen & Toubro Ltd. (4.9%), Reliance Industries Ltd. (4.5%), aur Infosys Ltd. (4.1%). Ye holdings fund ki strategy ko align karte hain, jo ki diversified exposure ko promote karte hain.
Iske alawa, sector allocation mein infrastructure, banking aur IT sectors ka significant exposure hai. Ye sectors India ki growth story ka major part hain. Aapne socha hoga ki ye investments kyun hain? Kyunki ye sectors long-term mein high growth potential rakhte hain, aur portfolio diversification bhi karte hain.
Investment strategy ka ye hissa fund ko market volatility ke against bhi protect karta hai. Long-term investors jo is fund mein invest karte hain, unhe in sectors ki growth ka fayda mil sakta hai.
Axis Infrastructure Fund - Direct Plan - Growth risk analysis and volatility
Axis Infrastructure Fund - Direct Plan - Growth ka riskometer "Very High" hai. Ye indicate karta hai ki is fund mein investment karna risky hai, lekin high returns ki possibility bhi hai. Agar aap market ki volatility ko tolerate kar sakte hain, toh ye fund aapke liye suitable ho sakta hai.
Volatility ka matlab hai ki fund ki returns kabhi kabhi zamana kar sakti hain, aur aapko short-term fluctuations ko handle karna padega. Sharpe ratio jaise metrics ka data available nahi hai, lekin high-risk funds ko samajhne ke liye ye zaroori hai ki aap apne risk tolerance ko pehle se jaan lein.
Agar aap conservative investor hain, toh shayad ye fund aapke liye nahi hai. Lekin jo log high risk le sakte hain aur long-term growth ki talash mein hain, unke liye ye ek accha option ho sakta hai.