Investment Objective
To Generate Long Term Capital Appreciation By Investing In A Diversified Portfolio Of Companiesdemonstrating Sustainable Practices Across Environmental, Social And Governance (Esg) Parameters.
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At a glance
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Portfolio
As of 8 Oct 2026
Asset class
Market cap
Key figures
How it compares
Trailing Returns
| 1M | 3M | 6M | YTD | 1Y | 3Y | 5Y | 7Y | 10Y | |
|---|---|---|---|---|---|---|---|---|---|
| This fund | -3.59% | -4.23% | +3.60% | -8.16% | -5.67% | +7.02% | +3.90% | N/A | N/A |
Calendar Year Returns vs Benchmark
Comparison with NIFTY 100 ESG Index
More detail
Monthly returns, rolling returns, risk measures and the full NAV history.
Axis ESG Integration Strategy Fund Regular Plan Growth Option is a Thematic - ESG equity fund from Axis Asset Management Company Ltd., launched on 12 Feb 2020. Its benchmark is the NIFTY 100 ESG Index. The expense ratio is 2.66% a year. It manages ₹1,073 crore. The NAV was ₹19.79 on 8 Oct 2026.
| Period | Return | Volatility a year |
|---|---|---|
| Last 1 year | -5.67% | 15.34% |
| Last 3 years | +7.02% a year | 13.97% |
| Last 5 years | +3.90% a year | 14.04% |
Returns over 3 years and longer are compounded annual returns. Volatility is the annualised standard deviation of returns over the same period. Figures as of 7 Oct 2026.
From 2020 to 2026, the fund returned more than the NIFTY 100 ESG Index in 3 of 7 calendar years. The 2026 figure is year to date.
| Year | 2020 | 2021 | 2022 | 2023 |
|---|
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| 2024 |
|---|
| 2025 |
|---|
| 2026 YTD |
|---|
| This fund | +34.10% | +24.61% | -11.97% | +24.47% | +16.00% | +3.25% | -8.16% |
| Benchmark | +22.96% | +32.26% | -2.94% | +23.36% | +12.77% | +11.72% | -5.17% |
Compare every esg fund on returns, volatility, worst fall and cost.