1Y returns
+0.00%
cat 0.26%3Y CAGR
—
cat 14.24%5Y CAGR
—
cat 14.40%Std deviation 3Y
—
cat 15.67%In plain English
Axis Consumption Fund Direct Plan is a Sectoral / Thematic scheme from Axis. The portfolio is ~98% in equities. Worst historical drawdown: -20% in Mar 2026 — ongoing. Wrong fit if you need this money in less than 7 years.
Auto-generated from holdings, returns and risk data. No paid placement, no copy-pasted boilerplate.
NAV history
Showing Direct · Growth · INF846K013X0
NAV (Direct-Growth)
₹9.5000
Last 1Y
-0.73%
Drawdown stories
The crashes you should know about — and how long the fund took to recover.
Mar 2026 — ongoing
-20.1%Peak ₹10.35 on 23 Sept 2024 → trough ₹8.27 on 23 Mar 2026 (18 months down).
Computed from the full NAV history. We show drawdowns deeper than 10%, sorted by depth.
Honesty score
A 1–5 grade on the dimensions other sites won't surface — expense bloat, AUM bloat, concentration, mandate compliance.
Honesty score
4 / 5
Solid scheme on the dimensions we check. No red flags.
Expense ratio
0.66% — typical for category.
AUM size
₹2.6K Cr.
Sector concentration
Top 3 sectors = 75.3% — heavy concentration risk.
Performance
Returns for various periods, with category average and peer rank.
Portfolio composition
Asset allocation
- Equity98.10%
- Cash1.85%
By market cap
- Large cap81.27%
- Mid cap9.32%
- Small cap6.88%
- Others2.53%
Concentration
Holdings
65
Avg market cap
₹1.79 L Cr
Top 10 stocks
50.04%
Top 5 stocks
33.99%
Top 3 sectors
75.25%
Top holdings
Top 15 positions by weight, latest disclosure.
- 1—9.56%
Bharti Airtel Ltd
- 2—7.63%
Mahindra & Mahindra Ltd
- 3—5.92%
Titan Co Ltd
- 4—5.57%
Hindustan Unilever Ltd
- 5—5.30%
Eternal Ltd
- 6—4.30%
Maruti Suzuki India Ltd
- 7—3.06%
Apollo Hospitals Enterprise Ltd
- 8—3.02%
Britannia Industries Ltd
- 9—2.99%
TVS Motor Co Ltd
- 10—2.69%
Nestle India Ltd
- 11—2.68%
InterGlobe Aviation Ltd
- 12—2.55%
Eicher Motors Ltd
- 13—2.39%
Clearing Corporation Of India Ltd
- 14—2.35%
Asian Paints Ltd
- 15—2.34%
Avenue Supermarts Ltd
Fundamentals (vs category)
Portfolio-weighted ratios, compared with the category average.
- P/E ratio38.3436.58+1.76
- P/B ratio7.406.30+1.10
- Price / Sales3.793.49+0.30
- Price / Cash Flow22.1823.40-1.22
- Dividend yield1.15%1.07%+0.08
- Return on equity (ROE)—0.00%—
Risk metrics
Standard deviation, Sharpe, Sortino, Beta — all vs category average.
- 13.60——15.0515.6714.42
Standard deviation
Volatility — lower means steadier returns.
- -0.72——-0.720.370.47
Sharpe ratio
Risk-adjusted return — higher is better.
- -0.79——-0.800.510.69
Sortino ratio
Like Sharpe but only counts downside volatility.
- 0.88——0.870.970.90
Beta
1 = moves with the market. <1 = less volatile.
Peers in Sectoral / Thematic
Other schemes in the same SEBI category, ranked by AUM.
- ₹36.5K Cr+6.58%+22.72%0.57%
ICICI Prudential India Opportunities Fund
ICICI Prudential
- ₹36.5K Cr+1.48%+18.90%0.57%
ICICI Prudential India Opportunities Fund
ICICI Prudential
- ₹15.8K Cr+6.72%+21.95%0.64%
ICICI Prudential Business Cycle Fund Direct Plan Growth
ICICI Prudential
- ₹15.8K Cr+2.38%+18.99%0.64%
ICICI Prudential Business Cycle Fund Direct Plan Growth
ICICI Prudential
- ₹13.4K Cr-10.00%+10.76%0.86%
ICICI Prudential Technology Fund
ICICI Prudential
- ₹13.4K Cr-21.09%+5.76%0.86%
ICICI Prudential Technology Fund
ICICI Prudential
- ₹10.6K Cr+1.41%+13.88%0.87%
ICICI Prudential Banking and Financial Services Fund
ICICI Prudential
- ₹10.6K Cr-1.94%+11.58%0.87%
ICICI Prudential Banking and Financial Services Fund
ICICI Prudential
Available plans & options
Click a plan to see its NAV and chart above. Direct plans have lower expense ratios than Regular — same portfolio, more of the return stays with you.
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