50
Index — Broad MarketHold
Axis Nifty 500 Index
Axis · Direct–Growth · rank #6 / 13 Smart Score ke hisaab se
Data updated
Axis Nifty 500 Index ka score 50/100 hai — 13 mein #6 Index — Broad Market fund (Hold). Mazbooti: expense ratio (category mein 88th percentile) aur utaar-chadhaav (category mein 77th percentile). Kamzori: Sharpe ratio (category mein 32th percentile).
Trailing returns
index ke muqable: Nifty 500 (index-fund proxy)1 saal
-1.3%
-0.2% index ke muqable
3 saal
—
5 saal
—
Launch se
0.3%
Saal-dar-saal performance
aakhri entry = is saal ab tak2025
7.7%
2026
-3.4%
Risk metrics
Sharpe ratio
-0.43
↑ jitna zyada, utna accha
Sortino ratio
-0.59
↑ jitna zyada, utna accha
Std deviation
14.36
↓ jitna kam, utna accha
Alpha
-1.94
↑ jitna zyada, utna accha
Beta
1.00
≈1 yaani market ke saath
Isi category ke aur funds
Research aur education ke liye — investment advice nahi.