Axis Bank-Best Plan-3
Axis Bank-Best Plan-3
Axis Bank-Best Plan-3
Segregated Fund Identification Number (SFIN) ULIF01108/02/07LIFEGRWSUP104
AUM (Rs.in Crores) 6,125.7 NAV (p.u.) 36.5164
Debt in Portfolio (Rs.in Crores) 567.8 As on Date: 30‐Sep‐20
Equity in Portfolio (Rs.in Crores) 5,557.9 Fund Managers: Equity ‐Saurabh Katariya & Rohit Tandon; Fixed Income ‐ Naresh Kumar
Debt in Portfolio (In % of AUM) 9.27% Benchmark ‐ NSE Nifty 100%
Equity in Portfolio (In % of AUM) 90.73% Nature of Fund : An open ended equity fund with focus on large caps.
Fund Objective:
Growth Super Fund is primarily equity oriented by ensuring at least 70% of the Fund corpus is invested in equities at all times. The remaining is invested in debt instruments across
Government, corporate and money market papers.
Asset Allocation:
Asset Type Actual (%) Asset Range
Govt.Securities 0.00% 0 ‐ 20%
Corporate Bonds 0.00% 0 ‐ 20%
Money Market OR Equivalent 9.27% 0 ‐ 30%
Equities 90.73% 70 ‐ 100%
Total 100.00%
* Benchmark for fund has been changed from November 2018 onwards
Money Market OR Equivalent (Rs. In Crores) 567.74
Top 10 Govt.Securities in the Fund: Top 10 Bonds in Fund :
Security Name Amount (In Crs.) Security Name Amount (In Crs.)
NIL NA 9.50 STATE BANK OF INDIA 04 NOV 2025 0.01
Top 10 Equities in the Fund: Top 10 Industry in the Fund:
Security Name Amount (In Crs.) Industry Name % of Fund
RELIANCE INDUSTRIES LIMITED 553.80 FINANCIAL AND INSURANCE ACTIVITIES 18.82%
COMPUTER PROGRAMMING, CONSULTANCY AND
INFOSYS LIMITED 441.30 14.09%
RELATED ACTIVITIES
HOUSING DEVELOPMENT FINANCE CORP LIMITED 261.19 MFG OF COKE AND REFINED PETROLEUM PRODUCTS 10.02%
HOUSING DEVELOPMENT FINANCE CORP BANK 257.13 CENTRAL & STATE GOVERNEMNT 9.39%
HINDUSTAN UNILEVER LIMITED 255.90 MFG OF PHARMACEUTICALS 7.03%
ICICI BANK LIMITED 203.64 MFG OF CHEMICALS AND CHEMICAL PRODUCTS 6.96%
HERO MOTOCORP LIMITED 177.44 MFG OF MOTOR VEHICLES, TRAILERS AND SEMI‐TRAILERS 6.55%
TATA CONSULTANCY SERVICES LIMITED 177.06 INFRASTRUCTURE 5.81%
BRITANNIA INDUSTRIES LIMITED 160.39 MUTUAL FUND 5.05%
ITC LIMITED 151.23 MFG OF FOOD PRODUCTS 4.23%
OTHER 12.04%
Rating Profile: Modified Duration:
AAA 100.00% Debt Portfolio 0.0028
AA+ 0.00% Money Market Instruments 0.0027
AA 0.00% (Note: Debt portfolio includes MMI)
Below AA 0.00%
Fund Performance vs Benchmark
Time Horizon Fund Return Benchmark Return Performance Against Benchmark
1 Month ‐1.68% ‐1.23% ‐0.45%
3 Months 9.75% 9.18% 0.57%
6 Months 27.24% 30.82% ‐3.58%
Financial Year Till Date 27.24% 30.82% ‐3.58%
1 Year 0.82% ‐1.98% 2.79%
2 Year* 3.76% 1.44% 2.32%
3 Year* 6.08% 4.74% 1.34%
5 Year* 8.53% 7.18% 1.35%
Since Inception* 10.16% 7.53% 2.63%
* (Returns more than 1 year are #CAGR)
Fund Name Max Life HIGH GROWTH FUND
Segregated Fund Identification Number (SFIN) ULIF01311/02/08LIFEHIGHGR104
AUM (Rs.in Crores) 516.9 NAV (p.u.) 33.3992
Debt in Portfolio (Rs.in Crores) 74.3 As on Date: 30‐Sep‐20
Equity in Portfolio (Rs.in Crores) 442.7 Fund Managers: Equity ‐Saurabh Katariya & Rohit Tandon; Fixed Income ‐ Naresh Kumar
Debt in Portfolio (In % of AUM) 14.36% Benchmark ‐ Nifty MidCap Free Float 100%
Equity in Portfolio (In % of AUM) 85.64% Nature of Fund : An open ended equity multicap fund with focus on midcaps.
Fund Objective:
The fund is a multi‐cap fund with a focus on mid cap equities, where predominant investments are equities of companies with high growth potential in the long term (to target high
growth in capital value assets). At least 70% of the Fund corpus is invested in equities at all times. However, the remaining is invested in government securities, corporate bonds and
money market instruments; hence the risk involved is relatively higher.
Asset Allocation:
Asset Type Actual (%) Asset Range
Govt.Securities 0.00% 0 ‐ 30%
Corporate Bonds 0.00% 0 ‐ 30%
Money Market OR Equivalent 14.36% 0 ‐ 30%
Equities 85.64% 70 ‐ 100%
Total 100.00% * Benchmark for High growth fund has been changed to Nifty Midcap Free Float 100 from January
Money Market OR Equivalent (Rs. In Crores) 74.25 2018 onwards
Top 10 Govt.Securities in the Fund: Top 10 Bonds in Fund :
Security Name Amount (In Crs.) Security Name Amount (In Crs.)
NIL NA NIL NA
Top 10 Equities in the Fund: Top 10 Industry in the Fund:
Security Name Amount (In Crs.) Industry Name % of Fund
TATA CONSUMERS PRODUCT LIMITED 20.40 CENTRAL & STATE GOVERNEMNT 16.17%
ALKEM LABORATORIES LIMITED 15.40 FINANCIAL AND INSURANCE ACTIVITIES 12.93%
IPCA LABORATORIES LIMITED 14.08 MFG OF PHARMACEUTICALS 11.60%
COMPUTER PROGRAMMING, CONSULTANCY AND
COFORGE LIMITED 14.08 9.42%
RELATED ACTIVITIES
METROPOLIS HEALTHCARE LIMITED 13.72 MFG OF CHEMICALS AND CHEMICAL PRODUCTS 7.00%
MPHASIS LIMITED 13.51 MFG OF MOTOR VEHICLES, TRAILERS AND SEMI‐TRAILERS 5.94%