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Axis Children's Fund-No Lock in(G)-Direct Plan

Axis Children's Fund-No Lock in(G)-Direct Plan

Solution OrientedDirect GrowthHigh Risk

+8.27%

5Y annualised

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NAV : 27 Jul 2026

₹30.56

Min. SIP amount

₹1,000

Fund size (AUM)

892 Cr

Expense ratio

1.37%

Launched on

08 Dec 2015

Lock-in period

N/A

Benchmark

Nifty 50

Fund Plan

Direct

SIP Calculator + Returns

Monthly investment

8,000

3M6M1Y3Y
Total investment
2,88,000
Would've become
3,33,718

Stock Allocation

Stock nameSectorAllocation
Kotak Mahindra Bank LimitedBank26.62%
7.1% Government Of India (08/04/2034)Government Securities5.36%
City Union Bank LimitedBank5.06%

Fund Composition

892 Cr

Large Cap

52.90%

Mid Cap

9.01%

Small Cap

11.17%

Others

32.41%

Sector Allocation

892 Cr

Bank

40.69%

Government Securities

9.14%

Corporate Debt

7.80%

Automobile & Ancillaries

5.37%

Realty

4.85%

Healthcare

3.96%

It

3.77%

Crude Oil

3.51%

Others

18.28%

Minimum investments

Min. for SIP1000
Min. for Lumpsum--

Returns vs rankings

Absolute returns
Name1Y3Y5Y
Fund returns------
Rank (Balanced)

Exit load, stamp duty and tax

Exit load

3% on or before 1Y, 2% after 1Y but on or before 2Y, 1% after 2Y but on or before 3Y, Nil after 3Y

No exit load after holding period

Stamp duty on investment: 0.005% (from July 1st, 2020)

from July 1st 2020

Tax implication

If you redeem within less than 1 year, returns are taxed as per your Income Tax slab. If you redeem after more than 1 year, returns are taxed at 12.5%.

Fund management

JS

Jayesh Sundar

Present

DS

Devang Shah

Present

HS

Hardik Shah

Present

KN

Krishnaa N

Present

Similar/Peer Fund Comparison

Fund name
S

SBI Children's Fund-Investment Plan(G)-Direct Plan

+22.25%
S

SBI Children's Fund-Savings Plan(G)-Direct Plan

+12.30%
B

Baroda BNP Paribas Children's Fund(G)-Direct Plan

+0.00%
A

Aditya Birla SL Bal Bhavishya Yojna(G)-Direct Plan

+12.38%
L

LIC MF Children’s Fund(G)-Direct Plan

+9.55%
A

Axis Children's Fund-Compulsory Lock in(G)-Direct Plan

+9.25%
I

ICICI Pru Children's Fund(G)-Direct Plan

+14.21%
H

HDFC Children's Fund(Lock in)-Direct Plan

+9.06%

FAQs

Axis Children's Fund-No Lock in(G)-Direct Plan is a part of Axis Asset Management Company Ltd., it was incepted on 08 Dec 2015. This fund is managed by Jayesh Sundar, Devang Shah, Hardik Shah and Krishnaa N. It is a Solution Oriented type of fund.

The current NAV of Axis Children's Fund-No Lock in(G)-Direct Plan is ₹30.56 (as of 27 Jul 2026).

Axis Children's Fund-No Lock in(G)-Direct Plan has delivered 1.48% in 1 year, 9.38% in 3 years, and 8.27% in 5 years (annualised).

The minimum SIP amount for Axis Children's Fund-No Lock in(G)-Direct Plan is ₹1000.

The expense ratio of Axis Children's Fund-No Lock in(G)-Direct Plan is 1.37%.

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