Mutual Funds Managed by Devang Shah
Updated June 2026 · 22 active funds · data from AMFI NAVs
Devang Shah manages or co-manages 22 mutual fund schemes tracked on FindMF, across Axis. The table below lists those funds with returns, risk metrics and real expense ratios, all computed independently from AMFI daily NAVs. Manager attribution comes from fund disclosures; co-managed funds appear under each named manager. This page aggregates a manager's schemes for reference - it is not a rating of the manager or a recommendation.
| # | Scheme | 1Y | 3Y | 5Y | Sharpe | Max DD | TER | AUM |
|---|---|---|---|---|---|---|---|---|
| 1 | Axis Multi Asset Allocation Fund Axis | +8.28% | +13.71% | +10.43% | 0.48 | -17.4% | 0.93% | ₹2.1K Cr |
| 2 | Axis Balanced Advantage Fund Axis | +0.21% | +12.82% | +10.86% | 0.55 | -9.6% | 0.87% | ₹3.8K Cr |
| 3 | Axis Retirement Fund - Dynamic Axis | -5.27% | +11.57% | +9.40% | 0.33 | -17.1% | 1.48% | ₹290 Cr |
| 4 | Axis Retirement Fund - Aggressive Axis | -5.26% | +11.34% | +8.34% | 0.25 | -21.0% | 1.29% | ₹722 Cr |
| 5 | Axis Equity Savings Fund Axis | +2.93% | +10.03% | +8.74% | 0.35 | -8.7% | 1.03% | ₹901 Cr |
| 6 | Axis Aggressive Hybrid Fund Axis | -2.54% | +9.85% | +8.51% | 0.28 | -17.3% | 1.16% | ₹1.5K Cr |
| 7 | Axis Children's Fund - No Lock in Axis | -2.95% | +9.12% | +8.04% | 0.23 | -18.1% | 1.43% | ₹137 Cr |
| 8 | Axis Children's Fund - Lock in Axis | -2.95% | +8.98% | +7.86% | 0.22 | -18.2% | 1.43% | ₹757 Cr |
| 9 | Axis Credit Risk Fund Axis | +7.85% | +8.59% | +7.54% | 0.23 | -0.9% | 0.82% | ₹362 Cr |
| 10 | Axis Retirement Fund - Conservative Axis | -1.20% | +8.51% | +6.85% | 0.09 | -8.5% | 1.25% | ₹50 Cr |
| 11 | Axis Strategic Bond Fund Axis | +6.27% | +8.22% | +7.29% | 0.01 | -1.2% | 0.71% | ₹2.1K Cr |
| 12 | Axis Corporate Bond Fund Axis | +5.27% | +7.75% | +6.72% | -0.46 | -0.9% | 0.37% | ₹8.7K Cr |
| 13 | Axis Short Duration Fund Axis | +5.68% | +7.73% | +6.72% | -0.50 | -0.8% | 0.47% | ₹11.4K Cr |
| 14 | Axis Income Plus Arbitrage Active FOF Axis | +5.59% | +7.69% | +6.63% | -0.35 | -1.1% | 0.06% | ₹2.1K Cr |
| 15 | Axis Arbitrage Fund Axis | +6.53% | +7.51% | +6.69% | - | -0.3% | 1.74% | ₹8.9K Cr |
| 16 | Axis Treasury Advantage Fund Axis | +6.14% | +7.44% | +6.52% | - | -0.4% | 0.49% | ₹6.9K Cr |
| 17 | Axis Money Market Fund Axis | +6.13% | +7.40% | +6.54% | - | -0.2% | 0.17% | ₹22.3K Cr |
| 18 | Axis Conservative Hybrid Fund Axis | +1.24% | +7.15% | +6.71% | -0.01 | -5.9% | 1.10% | ₹229 Cr |
| 19 | Axis Dynamic Bond Fund Axis | +4.58% | +7.11% | +6.04% | -0.43 | -3.2% | 0.35% | ₹1.1K Cr |
| 20 | Axis Liquid Fund Axis | +6.32% | +7.03% | +6.22% | - | -0.0% | 0.13% | ₹42.9K Cr |
| 21 | Axis Gilt Fund Axis | +2.73% | +7.02% | +5.98% | -0.44 | -3.0% | 0.46% | ₹608 Cr |
| 22 | Axis Long Duration Fund Axis | +0.11% | +5.63% | - | -0.17 | -5.6% | 0.33% | ₹254 Cr |
Ranked by trailing return (3Y where available, else 1Y). Manager attribution from fund disclosures. Returns, Sharpe, drawdown and TER are computed independently from AMFI NAVs - see methodology. No paid placement.