Axis Mutual Fund · Income/Debt Oriented Schemes - Credit Risk Fund
NAV
Path not in current snapshots
n/a
Trailing and rolling reads from daily NAV. Category comparison uses the median of comparable share classes, not an official TRI.
Peak to trough from a running NAV high. Move across the path to read a date.
Drawdown
Path not in current snapshots
n/a
No completed or open drawdown episodes in the current snapshots.
0–100 reads of named metrics. The mean is unweighted and only uses dimensions with data. It is not a buy or sell score.
Returns
n/a
Vs category
n/a
Consistency
n/a
Risk-adjusted
n/a
Drawdown
n/a
Mean
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Latest scheme mix from Groww, which republishes AMFI monthly disclosures. As of 31 Aug 2026 · 45 holdings · top 10 are 43.4%.
Asset mix
Debt
87.7%
Real estate
8.4%
Cash
4.0%
Sectors
Financial
22.3%
Industrials
16.6%
Unspecified
14.9%
Real Estate
9.6%
Entities
8.7%
Materials
7.3%
Consumer Discretionary
6.7%
Consumer Staples
5.9%
Healthcare
4.0%
Energy & Utilities
4.0%
Healthy, Monitor, or Review from the quantitative engine. An explanation can only restate this evidence.
Insufficient history