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Axis ESG Integration Strategy Fund

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Overview

Investment Objective

To generate long-term capital appreciation by investing in a diversified portfolio of companies demonstrating sustainable practices across Environmental, Social, and Governance (ESG) parameters using an ESG-Integration approach. However, there can be no assurance that the investment objective of the Scheme will be achieved.

Entry Load, Exit Load & Tax

If redeemed / switched-out within 12 months
For 10% of investment Nil
For remaining investment 1%
If redeemed/switched out after 12 months
From the date of allotment Nil
Tax implication

Minimum Investment

This product is suitable for investors who are seeking*

  • Capital appreciation over the long term
  • Investments using an integration approach to identify companies demonstrating sustainable practices across Environment, Social and Governance (ESG) parameters.
*Investors should consult their financial advisers if in doubt about whether the product is suitable for them
Axis ESG Integration Strategy Fund
Nifty 100 ESG TRI

Fund Manager

Mr. Vishal Agarwal
View Details
Ms. Krishnaa N
View Details

Performance

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SIP
Lumpsum
//
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Returns Over The Years

information

Performance of Axis ESG Integration Strategy Fund - Direct Growth as of April 07, 2026

Nifty 100 ESG TRICurrent Value of Rs.10,000 Invested
Annualised(%)Nifty 100 ESG TRI
Benchmark(%)
Nifty 50 TRI
Additional Benchmark(%)
Annualised(₹)Nifty 100 ESG TRI
Benchmark(₹)
Nifty 50 TRI
Additional Benchmark(₹)
Since Inception
2020-02-12
12.36%12.63%11.65%20,43020,73719,652
5 Years
8.12%10.10%10.01%14,77216,17616,113
3 Years
10.58%12.73%10.03%13,52114,32613,320
1 Year
-5.08%-1.90%-3.97%9,4899,8099,601

Performance of SIP

SIP InvestmentsTotal Amount InvestedMarket Value
(As on 2026-03-30)
Returns
(Annualised)
Benchmark Returns
(Annualised)
Additional Benchmark Returns
(Annualised)
Benchmark Market ValueAdditional Benchmark Market Value
Since Inception
12 Feb 2020
7,40,0009,02,479.506.37%9.78%9.32%10,03,573.839,89,220.37
5 Years
6,00,0006,57,145.533.60%6.29%5.81%7,03,093.766,94,710.55
3 Years
3,60,0003,54,152.56-1.06%1.94%0.48%3,70,842.963,62,650.79
1 Year
1,20,0001,07,240.64-19.29%-17%-18.42%1,08,802.311,07,835.63

Fund Quants

info

Portfolio

information

Asset Cap Mix

Portfolio Summary

No. of stocks
10
Top 10 Stocks (%)
45.71%
Top 5 Stocks (%)
29.19%
Top 3 Stocks (%)
20.44%

Holdings

Stocks% of holdings
State Bank of India7.21
HDFC Bank Limited7.02
ICICI Bank Limited6.21
Gland Pharma Limited4.66
Bajaj Finance Limited4.09
Axis Bank Limited3.66
Reliance Industries Limited3.58
JB Chemicals & Pharmaceuticals Limited3.14
Infosys Limited3.08
Titan Company Limited3.06

IDCW

Record DateOptionIDCW (Per Unit)NAV (Per Unit)
Individuals/HUFOthersCum IDCWEx- IDCW
2025-03-11Dividend1.41.416.1614.76
2024-03-20Dividend1.371.3717.0315.66
2023-03-13Dividend1.151.1513.6112.46

Outlook

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Documents

Presentation

Schemes pdf

Leaflet

Schemes pdf

SID

Schemes pdf

KIM

Schemes pdf

Frequently asked questions

How can I stay updated on the ESG performance and holdings of Axis ESG Integration Strategy Fund?

To stay informed about the ESG performance and holdings of Axis ESG Integration Strategy Fund, you can regularly review the fund's reports, visit the Axis Mutual Fund website, or contact their customer support for updates.* Current portfolio allocation is based on the current market conditions and is subject to changes depending on the fund managers view of the markets. Please refer SID, for detail Asset Allocation & Investment strategy of the Scheme.

How does Axis ESG Integration Strategy Fund identify truly sustainable companies?

Axis ESG Integration Strategy Fund looks for companies with strong fundamentals that not only offer the potential for alpha generation but also have a positive social impact. A minimum of 80% of the portfolio comprises stocks that rate highly on an internal ESG review, indicating their sustainability. *

What are the key features of Axis ESG Integration Strategy Fund?

Axis ESG Integration Strategy Fund aims for long-term capital appreciation by investing in quality companies with sustainable growth prospects. It places a strong emphasis on incorporating ESG considerations into its investment approach. Additionally, the fund has the flexibility to invest internationally, capturing ESG opportunities across the global landscape.

What is the significance of international equity exposure in Axis ESG Integration Strategy Fund?

Axis ESG Integration Strategy Fund has the flexibility to invest up to 30% of its portfolio in globally sustainable companies. This exposure allows investors to benefit from ESG opportunities on a global scale and diversify their investments across international markets. *

Why should I consider investing in Axis ESG Integration Strategy Fund?

Axis ESG Integration Strategy Fund follows a stringent screening process, ensuring that companies included in the portfolio meet ESG criteria. The fund focuses on sustainable companies with strong fundamentals and a positive social impact. Moreover, the fund provides exposure to global sustainable companies, diversifying opportunities for investors.

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Axis Bank Ltd. is not liable or responsible for any loss or shortfall resulting from the operation of the scheme.
Past performance may or may not be sustained in future. Please consult your financial advisor before investing.