Axis Bluechip 定投收益计算器
测算 Axis Bluechip 的真实历史定投回报与复利增值。基于官方公开历史净值,回测不同定投金额、持有期限及每年递增投资效果。
基金类别
Large Cap
资产规模 (AUM)
₹31,376 Cr
管理费率 (Expense Ratio)
0.94%
基金经理
Shreyash Devalkar
Axis Bluechip 历史定投表现及收益矩阵表
基于实际历史复合年化回报率(CAGR)测算的不同月定投金额持有收益。
| 每月定投金额 | 3 年期 @ 8.1% CAGR | 5 年期 @ 5.1% CAGR | 10 年期 @ 12.1% CAGR |
|---|---|---|---|
| ₹1,000/月 | ₹40,871 累计投入: ₹36,000 | ₹68,452 累计投入: ₹60,000 | ₹2,34,286 累计投入: ₹1,20,000 |
| ₹2,500/月 | ₹1,02,177 累计投入: ₹90,000 | ₹1,71,129 累计投入: ₹1,50,000 | ₹5,85,714 累计投入: ₹3,00,000 |
| ₹5,000/月 | ₹2,04,354 累计投入: ₹1,80,000 | ₹3,42,258 累计投入: ₹3,00,000 | ₹11,71,428 累计投入: ₹6,00,000 |
| ₹10,000/月 | ₹4,08,708 累计投入: ₹3,60,000 | ₹6,84,516 累计投入: ₹6,00,000 | ₹23,42,856 累计投入: ₹12,00,000 |
| ₹25,000/月 | ₹10,21,769 累计投入: ₹9,00,000 | ₹17,11,290 累计投入: ₹15,00,000 | ₹58,57,139 累计投入: ₹30,00,000 |
* 测算基于实际基金历史年化收益率。基金投资不同于银行存款,实际投资回报随二级市场净值实时波动。
关于 Axis Bluechip Fund
A large cap equity fund investing in top 100 companies. Known for a high-conviction portfolio with relatively lower diversification compared to peers.
投资策略与运作方式
Concentrated portfolio approach — holds 40-50 stocks with higher allocation to high-conviction bets. Focuses on companies with strong earnings visibility and sustainable competitive advantages.
核心亮点与产品特征
- Relatively concentrated portfolio (40-50 stocks)
- Lower expense ratio compared to category average
- Strong track record in bull markets
- Benchmark: Nifty 100 TRI
历史年化收益表现 (CAGR)
近3年年化
8.1%
近5年年化
5.09%
近10年年化
12.14%
业绩基准
Nifty 100 TRI
Returns are illustrative based on historical performance. Actual returns may vary. Data as of August 2026. Verify with AMC before investing.
前五大核心持仓与行业分布
根据最新公开披露,Axis Bluechip 的核心持仓与资产配置如下:
前五大重仓资产
- HDFC Bank
- ICICI Bank
- Kotak Mahindra Bank
- Infosys
- Axis Bank
行业板块分布
Financials 38%, IT 15%, Energy 10%, Consumer 8%, Others 29%
风险特征与最大回撤
Moderate volatility. Concentrated portfolio (40-50 stocks) can amplify swings.
Max drawdown -33% in March 2020. Recovered in 9 months. Higher beta in bull markets.
交易规则与税费说明
LTCG 12.5% above ₹1.25L/year. STCG 20% if sold within 1 year.
哪些投资者不适合投资 Axis Bluechip?
Investors seeking broad diversification. Concentrated portfolio may not suit all risk profiles.
基金经理简介
Shreyash Devalkar managing since 2018. Known for high-conviction stock picks.
适合哪些投资者?
Suitable for investors comfortable with slightly concentrated large cap exposure. Recommended horizon of 5+ years.
同类别及相关推荐基金
同类别备选基金
- ICICI Pru Bluechip Fund
- Mirae Asset Large Cap Fund
- HDFC Large Cap Fund
您也可以通过我们的 智能定投主计算器 对比多只基金,在相同定投金额与周期下直观比对历史表现。
更多定投与财务规划实用工具
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- 定投 vs 还贷 (SIP vs EMI) 计算器 — 科学权衡提前还房贷还是坚持基金定投
常见问题解答 (FAQ) — Axis Bluechip
Axis Bluechip 的历史定投回报表现如何?
根据交易所公开历史数据,Axis Bluechip 近3年年化回报率为 8.1%,近5年年化为 5.09%,近10年年化为 12.14%。 Returns are illustrative based on historical performance. Actual returns may vary. Data as of August 2026. Verify with AMC before investing.
基金定投(SIP)的回报是如何计算的?
定投回报采用扩展内部收益率(XIRR)或基于真实历史月度净值的复利回测计算。在每月设定的扣款日,定投金额会按当天公布的基金份额净值(NAV)申购份额。在市场回调时自动购入更多份额、市场上涨时购入更少份额,通过时间平摊持仓成本并实现复利。
每月定投 ₹5,000,5年后大约能积累多少资产?
按年化复合回报率 5.09% 测算,每月定投 ₹5,000(5年累计投入本金 ₹3,00,000),5年后预期期末总资产约为 ₹3,42,258,预期资产增值收益约为 ₹42,258。您可以使用上方计算器输入自定义金额与年份测试。
Axis Bluechip 的前几大重仓资产包含哪些?
Axis Bluechip 的核心重仓包括 HDFC Bank、ICICI Bank、Kotak Mahindra Bank 等知名标的。行业配置侧重于 Financials 38%, IT 15%, Energy 10%, Consumer 8%, Others 29%。
Axis Bluechip 的投资风险等级如何?
Moderate volatility. Concentrated portfolio (40-50 stocks) can amplify swings. 本基金可能不适合 Investors seeking broad diversification. Concentrated portfolio may not suit all risk profiles.
投资该基金有哪些税费或交易成本?
LTCG 12.5% above ₹1.25L/year. STCG 20% if sold within 1 year.
数据更新时间: 2026年9月 | 历史净值来自官方公开交易所行情