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Compiled by Rupeestop LLP, SEBI RIA INA000022701. NAV as on 18 Aug 2026. Factsheet Jun 2026. About · Disclosures

Axis Dynamic Bond Fund - Regular Growth - Growth

Axis Mutual Fund
Dynamic BondRegularGrowthModerate riskRS 764/5
NAV

₹31.6667

As on 18 Aug 2026

Vs category

PeriodThis fundCategoryRank
1 year+6.88%
3 year+7.52%
5 year+6.22%
Sharpe
0.02
Std dev
2.28%
Beta
0.88

All Dynamic Bond funds · Axis Mutual Fund

Returns

From NAVs through 18 Aug 2026

1Y
+6.88%
Total
3Y
+7.52%
p.a.
5Y
+6.22%
p.a.
SI
+6.12%
p.a.

Calendar years

+2.11%
2022
+6.57%
2023
+8.57%
2024
+7.08%
2025
+4.55%
2026 YTD

Rolling 1-year · 51 overlapping windows

+0.16%avg +6.12%+10.73%

Fund facts

Fund details from the Jun 2026 factsheet

Fund size
₹1,026.19 Cr
Expense ratio
0.62%
Exit load
None
Lock-in
None
BenchmarkNIFTY Composite Debt Index a-iii
Launched26 Apr 2011
Risk levelModerate
StructureOpen Ended
ISININF846K01917

Where the money is invested

Split by asset type.

By asset type

Bonds67.22%
Cash30.12%
Equity2.16%
Other0.50%

What the fund holds

8 holdings · portfolio as on 14 Jun 2026

  • Clearing Corporation of India Ltd
    16.81%
  • Kotak Mahindra Bank Limited
    4.68%
  • Small Industries Development Bank of India
    4.67%
  • National Bank for Agriculture and Rural Development
    2.35%
  • Net Receivables / (Payables)
    1.61%
  • Raajmarg Infra Investment Trust Units
    Financial Services
    1.39%
  • Cube Highways Trust
    Industrials
    0.77%
  • Sbi - Corporate Debt Market Development Fund (Cdmdf) - Class A2
    0.5%

Concentration

Top 5 weight
30.12%
Top 10 weight
32.78%
Avg turnover
394.75%

Risk and quality measures

How steady the returns have been.

Return quality

Sharpe
0.02
Below category avg 0.15
Sortino
0.15
Return per unit of downside risk
Alpha
0.42
Return above the benchmark

Risk

Std deviation
2.28%
How much returns swing
Beta
0.88
Better than category avg 0.95
R-squared
86%
How closely it tracks the benchmark

Who manages this fund

1 fund manager

  • DS
    Devang Shah
    16.2 years in the industry
    Runs 27 schemes

Other versions

  • regularquarterly idcw payout
    Axis Dynamic Bond Fund - Regular Quarterly IDCW Payout
    NAV ₹11.33
  • regularhalf yearly idcw reinvestment
    Axis Dynamic Bond Fund - Regular Half Yearly IDCW Reinvestment
    NAV ₹11.6999
  • directquarterly idcw reinvestment
    Axis Dynamic Bond Fund - Direct Plan - Quarterly IDCW Reinvestment
    NAV ₹11.3438
  • directhalf yearly idcw reinvestment
    Axis Dynamic Bond Fund - Direct Plan - Half Yearly IDCW Reinvestment
    NAV ₹12.8252
  • directGrowth
    Axis Dynamic Bond Fund - Direct Plan - Growth Plan
    NAV ₹33.09

FAQ

What is Axis Dynamic Bond Fund - Regular Growth - Growth NAV today?

The latest NAV of Axis Dynamic Bond Fund - Regular Growth - Growth is ₹31.6667 as on 18 Aug 2026.

How has Axis Dynamic Bond Fund - Regular Growth - Growth performed vs its category?

1-year return +6.88%. Past performance does not guarantee future returns.

What are the returns of Axis Dynamic Bond Fund - Regular Growth - Growth?

Trailing returns from published NAVs: 1 year +6.88%, 3 year +7.52% a year, 5 year +6.22% a year, since our first NAV +6.12% a year. Past performance does not guarantee future returns.

How would a SIP in Axis Dynamic Bond Fund - Regular Growth - Growth have been illustrated?

The SIP illustration on this page uses ₹5,000 a month for 10 years at this fund's 3-year annualised return of +7.52%. It is not a forecast.

What is the expense ratio and fund size of Axis Dynamic Bond Fund - Regular Growth - Growth?

For Axis Dynamic Bond Fund - Regular Growth - Growth, the expense ratio is 0.62% and fund size (AUM) is ₹1,026.19 Cr.

What is the ISIN of Axis Dynamic Bond Fund - Regular Growth - Growth?

The ISIN for Axis Dynamic Bond Fund - Regular Growth - Growth is INF846K01917.

Mutual fund investments are subject to market risks. Read all scheme related documents carefully before investing. Past performance does not guarantee future returns and is not an indicator of future results.

Figures on this page come from published NAVs and the scheme's monthly factsheet. They are for information only and are not investment advice or a recommendation to buy or sell any scheme.