Mirae Asset ELSS Tax Saver Fund (G) vs Axis ELSS Tax Saver Fund (G)

Both Mirae Asset ELSS Tax Saver Fund (G) and Axis ELSS Tax Saver Fund (G) belong to Tax Saving. Compare returns, expense ratio, risk, and portfolio performance. The 3Y return for Mirae Asset ELSS Tax Saver Fund (G) and Axis ELSS Tax Saver Fund (G) is 10.549% and 5.156%. Check other parameters to pick the right fund.

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Fund Returns

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Nav (14 Jan)

₹44.73

₹89.31

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Last 1 Year

9.1%

10.4%

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Last 3 Year

10.5%

5.2%

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Last 5 Year

17.8%

12.1%

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Last 10 Year

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11.7%

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Since Inception

17.8%

15.6%

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₹44.73
Nav (14 Jan)
9.1%
Last 1 Year
10.5%
Last 3 Year
17.8%
Last 5 Year
-
Last 10 Year
17.8%
Since Inception
₹89.31
Nav (14 Jan)
10.4%
Last 1 Year
5.2%
Last 3 Year
12.1%
Last 5 Year
11.7%
Last 10 Year
15.6%
Since Inception

Scripbox Opinion

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Scripbox Opinion
Click here for top ranked funds in tax saving mutual funds. Tax Saving funds provides inflation beating growth over the long term and is suitable for investment objectives with duration ofmore...

Explore a scientifically created Scripbox plan within this asset class.

Click here for top ranked funds in tax saving mutual funds. Tax Saving funds provides inflation beating growth over the long term and is suitable for investment objectives with duration of 1more...

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Scripbox Fund Analysis

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Category View

Superior

The category has a superior investment outlook

Superior

The category has a superior investment outlook

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Relative Size

₹ 25021.2 Cr

The fund has been a Category Leader on the Fund Size metric

₹ 35953.7 Cr

The fund has been a Category Leader on the Fund Size metric

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-Track Record
Lowest Interest Rate RiskImpact of Interest Rate Changes
Lowest Credit RiskCredit Quality Of Fund's Portfolio
₹ 25021.2 CrRelative Size
SuperiorCategory View
-Consistency Of Performance
-Track Record
Lowest Interest Rate RiskImpact of Interest Rate Changes
Lowest Credit RiskCredit Quality Of Fund's Portfolio
₹ 35953.7 CrRelative Size
SuperiorCategory View
-Consistency Of Performance

Scheme Information

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Risk Factor

Low

Low to Moderate

Moderate

Moderately High

High

Very High

Very High

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Expense Ratio
1.54 %
1.5 %
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Launched Date
2015-12-28
2009-12-29
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AUM in Crores
₹ 25,021 Cr
₹ 35,954 Cr
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Exit Load
-
-
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Lock-in
1095
1095
-
Benchmark
NIFTY 500 Total Return Index
NIFTY 500 Total Return Index
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ISIN
INF769K01DK3
INF846K01131
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SIP Minimum
₹ 500
₹ 500
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Lumpsum Minimum
₹ 500
₹ 500
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Fund Managers
user-avatar

Neelesh Surana

user-avatar

Ashish Naik

user-avatar

Shreyash Devalkar

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Investment Objective
The scheme seeks to generate long-term capital appreciation from a diversified portfolio of predominantly equity and equity related instruments.more...
The scheme aims to generate regular long term capital growth from a diversified portfolio of equity and equity related securities. The Scheme Will invest in companies with strong gmore...
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risk-indicator-arrow.svg
Very High
Risk Factor
1.54 %
Expense Ratio
2015-12-28
Launched Date
₹ 25,021 Cr
AUM in Crores
-
Exit Load
1095
Lock-in
NIFTY 500 Total Return Index
Benchmark
INF769K01DK3
ISIN
₹ 500
SIP Minimum
₹ 500
Lumpsum Minimum
risk-indicator-arrow.svg
Risk Factor
1.5 %
Expense Ratio
2009-12-29
Launched Date
₹ 35,954 Cr
AUM in Crores
-
Exit Load
1095
Lock-in
NIFTY 500 Total Return Index
Benchmark
INF846K01131
ISIN
₹ 500
SIP Minimum
₹ 500
Lumpsum Minimum

Fund Managers

user-avatar

Neelesh Surana

user-avatar

Ashish Naik

user-avatar

Shreyash Devalkar

Investment Objective

The scheme seeks to generate long-term capital appreciation from a diversified portfolio of predominantly equity and equity related instruments.

The scheme aims to generate regular long term capital growth from a diversified portfolio of equity and equity related securities. The Scheme Will invest in companies with strong growth & a sustainable business model.

Returns Calculator

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This SIP Calculator helps you to know your returns. Fund returns are listed below based on the input.

of

for

with step-up of

CAGR Returns

17.85% (5Y)

12.11% (5Y)

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Total Investment Amount

₹ 7,32,612

₹ 7,32,612

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Wealth Gained

₹ 4,15,487

₹ 2,54,828

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Maturity Amount

₹ 11,48,099

₹ 9,87,440

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Step-up

Tenure

17.85% (5Y)

CAGR Returns

₹ 7,32,612

Total Investment

₹ 4,15,487

Wealth Gained

₹ 11,48,099

Total Corpus Created With assumed returns of %

12.11% (5Y)

CAGR Returns

₹ 7,32,612

Total Investment

₹ 2,54,828

Wealth Gained

₹ 9,87,440

Total Corpus Created With assumed returns of %

Asset Allocation and Holdings

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Top Stock Holdings

Hdfc bank ltd.

8.01%
8.01%

Axis bank ltd.

4.653%
4.653%

Infosys ltd.

4.644%
4.644%

Icici bank ltd.

4.224%
4.224%

State bank of india

3.635%
3.635%
See all holdingsright-arrowright-arrow

Torrent power ltd.

5.924%
5.924%

Hdfc bank ltd.

5.886%
5.886%

Bajaj finance ltd.

4.564%
4.564%

Tata consultancy services ltd.

4.491%
4.491%

Avenue supermarts ltd.

3.566%
3.566%
See all holdingsright-arrowright-arrow

Amc Information

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Name

amc-logo
amc-logo
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About

Mirae Asset Global Investments is the asset management arm of Mirae Asset Financial Group. It was founded in 1997. Mirae Asset Global Investments (India) Private Limited has transfmore...
Axis Asset Management Company Ltd. is the mutual fund investment division of Axis Bank. Axis bank holds a 74.99% share in the AMC, and Schroder Singapore Holdings Private Limited omore...
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Contact Information

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022-67800301 / 1800-2090-777
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Mirae Asset ELSS Tax Saver Fund (G)

Tax Saving

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Axis ELSS Tax Saver Fund (G)

Tax Saving

Invest in this fund

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Mirae Asset ELSS Tax Saver Fund (G)

Tax Saving

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Axis ELSS Tax Saver Fund (G)

Tax Saving

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