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Axis

Axis Greater China Equity Fund Of Fund

Fund of FundsOther Rank 60 of 141

NAV · Direct-Growth

₹12.78+0.08+0.63%

As of 30 Sept 2026 · AMFI

NAV growth+20.0%
Sep ’25Sep ’26
Arthkar verdictA balanced read

Returns

Mixed vs category

2 of 3 periods ahead

Consistency

Steady

positive in 3 of 5 years

Beats its Fund of Funds category on 1Y & 3Y but trails on 5Y.

1Y return

+17.5%

+2.6 vs cat

3Y CAGR

+24.0%

+1.6 vs cat

5Y CAGR

+8.7%

-5.0 vs cat

AUM

—

fund size

Expense

—

direct plan

Volatility 3Y

20.3%

3Y std dev

Go deeper on Axis Greater China Equity Fund Of Fund

Two data-only views, computed from this fund's real NAV history — no projections.

In plain English

Axis Greater China Equity Fund of Fund is a Fund of Funds scheme from Axis. Long-run track record: about 8.7% CAGR over 5 years. Worst historical drawdown: -100% in Oct 2021, recovered in 48 months.

Auto-generated from holdings, returns and risk data. No paid placement, no copy-pasted boilerplate.

NAV history

Showing Direct · Growth · INF846K01Y39

NAV (Direct-Growth)

₹12.7800

Last 1Y

+20.00%

Sept 25Min ₹9.94 · Max ₹13.14 · 235 ptsSept 26

Drawdown stories

The crashes you should know about — and how long the fund took to recover.

Oct 2021

-100.0%

Peak ₹10.02 on 19 Feb 2021 → trough ₹0.00 on 13 Oct 2021 (8 months down).

Recovered in 48 months· 10 Sept 2025

Jul 2026 — ongoing

-10.4%

Peak ₹13.14 on 27 May 2026 → trough ₹11.77 on 29 Jul 2026 (2 months down).

Not yet recovered

Computed from the full NAV history. We show drawdowns deeper than 10%, sorted by depth.

Performance

Returns for various periods, with category average and peer rank.

PeriodReturnsCategory avgRank
1W-0.55%-1.92%69/ 239
1M+0.31%-2.65%33/ 237
3M+3.31%-1.11%20/ 227
6M+18.11%+7.30%34/ 226
YTD+21.37%+6.74%25/ 203
1Y+17.46%+14.82%84/ 194
2Y+20.92%+18.98%71/ 155
3Y+23.96%+22.31%60/ 141
5Y+8.70%+13.75%76/ 100

Available plans & options

PlanOptionFull nameISIN

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.