Axis Securities Ltd — PMS strategies
Axis Securities Ltd is a SEBI-registered portfolio manager running 14 strategies in our tracker, holding ₹3,472 Cr in aggregate AUM across the 10 that publish a figure. Every one of them is listed below with its 3-year annualised return, as on 30 Jun 2026. Figures come from the monthly APMI disclosures every registered manager is required to file — not from the manager's own marketing.
All 14 strategies from Axis Securities Ltd
- AXIS SECURITIES PURE CONTRA₹1,561 CrAUM15.5%3Y
- AXIS SECURITIES PURE GROWTH₹805 CrAUM15.5%3Y
- AXIS SECURITIES KAIZEN₹535 CrAUM24.9%3Y
- AXIS SECURITIES CUSTOMISED₹520 CrAUM16.9%3Y
- AXIS SECURITIES ETHICAL₹16 CrAUM13.0%3Y
- AXIS SECURITIES GROWAN₹10 CrAUM14.3%3Y
- AXIS SECURITIES CONTRARIAN₹10 CrAUM18.7%3Y
- AXIS SECURITIES SELECT NIFTY 50₹9 CrAUM11.3%3Y
- AXIS SECURITIES ALPHASENSE AI₹4 CrAUM—3Y
- AXIS SECURITIES RETIREMENT₹2 CrAUM8.0%3Y
- AXIS SECURITIES MF MAXIMIZER EQUITY—AUM-51.9%3Y
- AXIS SECURITIES PURE LIQUID C—AUM—3Y
- AXIS SECURITIES PURE LIQUID G—AUM—3Y
- AXIS SECURITIES PURE LIQUID K—AUM—3Y
Returns are Time-Weighted Rate of Return at the strategy level, annualised beyond 1 year, as on 30 Jun 2026. Alpha is return minus S&P BSE 500 TRI for the same window (shown where a like-for-like benchmark exists). Figures are sourced from disclosures and are not verified by SEBI. Past performance is not indicative of future returns. Minimum investment ₹50 lakh (SEBI mandate). This is not investment advice.