Mutual Funds
Axis Conservative Hybrid Fund-Reg(G)
Hybrid  |   Moderately High  |   Hybrid - Conservative Hybrid Fund
30.60   +0.07
NAV(₹) as on 6/7/2026
0.23%
  1D
1.48%
  1Y
6.03%
  3Y
5.66%
  5Y
Axis Conservative Hybrid Fund-Reg(G)
Growth Chart of the Scheme

Scheme Details
Expense Ratio:
2.15
Launch Date:
16 Jul 2010
Exit Load:
Nil upto 10% of investments and 1% for remaining investments on or before 1M, Nil after 1M
AUM:
₹ 220.72 Crs
Lock-in:
Nil
Investing Style:
Small Value
Portfolio Price To Book Value:
5.30
Min. Investment:
SIP : ₹ 100.00
Lumpsum : ₹ 500.00
Scheme Benchmark:
NIFTY 50 Hybrid Composite Debt 15:85 Index
Fund Manager:
Devang Shah ,Sachin Jain ,Jayesh Sundar

FUND OBJECTIVE

The Scheme seeks to generate regular income through investments in debt & money market instruments, along with capital appreciation through limited exposure to equity and equity related instruments.

LATEST ASSET & PORTFOLIO ALLOCATION Equity Others Debt
as on 30/6/2026 18.56 % 19.04 % 62.41 %
TOP HOLDINGS

Clearing Corporation Of India Ltd.
17.03 %

07.18% GOI - 14-Aug-2033
15.87 %

06.79% GOI - 07-Oct-2034
11.83 %

Power Finance Corporation Ltd. SR-223 7.64% (22-Feb-2033)
6.91 %

07.18% GOI - 24-Jul-2037
4.19 %

GMR Airports Ltd. BD 5.00% (13-Feb-2027)
2.38 %

07.10% GOI - 08-Apr-2034
2.32 %

National Bank For Agriculture & Rural Development SR-26F 07.44% (17-Jul-2029)
2.28 %

Bamboo Hotel and Global Centre (Delhi) Pvt Ltd. SR-I 10.81% (31-Jan-2028)
2.28 %

Pilani Investment And Industries Corporation Ltd. 08.11% (24-Apr-2029)
2.27 %

See All Holding
ALLOCATION BY MARKET CAP (Equity)
ALLOCATION BY RATING (Debt & Others)
ALLOCATION BY SECTOR

Bank - Private
4.47 %

IT - Software
1.99 %

Refineries
1.96 %

Pharmaceuticals & Drugs
1.84 %

Power Generation/Distributio
0.99 %

See All Sectors
PORTFOLIO CHARACTERISTICS (Debt)

Average Maturity

Modified Duration

Yield to Maturity

4.6 (in years)

3.42 (in years)

7.36 %

5 YEAR HISTORY

Financial Year 2021-22 2022-23 2023-24 2024-25 2025-26
NAV (31/3/2026) 24.42 24.51 27.10 29.25 29.51
Net Assets (Rs Crores) 44,146.78 42,458.26 34,201.09 27,215.60 21,478.08
Scheme Returns(%)(Absolute) 9.03 -0.26 10.39 7.89 0.72
B'mark Returns(%)(Absolute) NA NA NA NA NA
Category Rank 10/24 19/21 17/20 11/19 14/19
RISKOMETER
Level of Risk in the Scheme

Clients will understand that their principal will be at Moderately High risk.

PERFORMANCE COMPARISON WITH SIMILAR SCHEMES

Fund Details Inception Date Aum(₹ Crs) 1Y 3Y 5Y Since Inception
MDB Logo
Arudha Hybrid Long-Short Fund-Reg(G)
Hybrid - Conservative Hybrid Fund  |   Low |  10.32   +0.01  
28/1/2026 ₹ 109.4 - - - 7.30%
MDB Logo
Sundaram Conservative Hybrid Fund(G)
Hybrid - Conservative Hybrid Fund  |   Moderate |  29.43   +0.06  
10/3/2010 ₹ 18.69 -1.15% 5.09% 6.32% 6.83%
MDB Logo
LIC MF Conservative Hybrid Fund(G)
Hybrid - Conservative Hybrid Fund  |   Moderately High |  84.49   +0.26  
19/8/1998 ₹ 46.6 2.43% 5.98% 5.50% 7.84%
MDB Logo
Axis Conservative Hybrid Fund-Reg(G)
Hybrid - Conservative Hybrid Fund  |   Moderately High |  30.60   +0.07  
21/7/2010 ₹ 220.72 1.48% 6.03% 5.66% 7.25%
MDB Logo
Bandhan Conservative Hybrid Fund-Reg(G)
Hybrid - Conservative Hybrid Fund  |   Moderately High |  32.90   +0.07  
26/2/2010 ₹ 96.44 2.24% 6.63% 5.46% 7.53%
MDB Logo
Bank of India Conservative Hybrid Fund-Reg(G)
Hybrid - Conservative Hybrid Fund  |   Moderately High |  35.27   +0.03  
20/3/2009 ₹ 65.13 2.39% 6.65% 9.73% 7.55%
MDB Logo
Bank of India Conservative Hybrid Fund-Eco(G)
Hybrid - Conservative Hybrid Fund  |   Moderately High |  36.63   +0.03  
20/3/2009 ₹ 65.13 2.73% 7.05% 10.02% 7.79%
MDB Logo
Canara Rob Conservative Hybrid Fund-Reg(G)
Hybrid - Conservative Hybrid Fund  |   Moderately High |  99.51   +0.12  
31/3/1996 ₹ 853.53 2.42% 7.24% 6.49% 8.23%
MDB Logo
Baroda BNP Paribas Conservative Hybrid Fund-Reg(G)
Hybrid - Conservative Hybrid Fund  |   Moderate |  46.52   +0.08  
23/9/2004 ₹ 943.6 3.57% 7.49% 6.60% 7.31%
MDB Logo
Franklin India Conservative Hybrid Fund(G)
Hybrid - Conservative Hybrid Fund  |   Moderately High |  92.72   +0.20  
17/10/2000 ₹ 193.59 1.52% 7.95% 7.05% 9.02%