Axis Asset Management Company
Axis Asset Management Company (Axis Mutual Fund) is a Mumbai-based, privately-held Indian asset manager founded in 2009 managing over Rs 3.75 lakh crore (~$45B) in equity, debt, and alternative funds for retail SIP investors, HNIs, and institutions, with Schroders Capital as a 25% strategic shareholder.
- Company typePrivate
- Founded2009
- HeadquartersMumbai, India
- Headcount1,001–5,000
- GTM typeB2B and B2C
- OfferingServices
What Axis Asset Management Company does
Axis Asset Management Company (Axis AMC), doing business as Axis Mutual Fund, is a Mumbai-headquartered, privately-held Indian asset management company founded in 2009. The firm manages over Rs 3.75 lakh crore (approximately USD 45 billion) in assets under management across equity, debt, hybrid, index, thematic, and alternative fund categories, ranking it among the top ten Indian fund houses with roughly 5.6% market share. Its product portfolio includes the Axis Flexi Cap Fund (Rs 12,625 crore AUM), Axis Midcap Fund, Axis Large Cap Fund, gold and overseas fund-of-funds (currently suspended for new subscriptions under RBI overseas investment caps), and an emerging Alternates platform for alternative credit and infrastructure financing. The firm serves retail SIP investors, high-net-worth individuals, institutional investors, and alternative asset investors, with Schroders Capital holding a 25% strategic stake and leadership under CEO Gop Kumar Bhaskaran and CIO R Sivakumar.
The business model is fee-based: Axis AMC earns management fees as a percentage of AUM, with pricing constrained by SEBI-mandated total expense ratio caps across fund categories. Distribution is multi-channel, combining direct sales teams for institutional and HNI clients, digital platforms for retail SIPs, a traditional distributor/RIA network, and a stated push into B-30 (beyond-top-30) cities to capture under-penetrated retail demand. Recent strategic actions include the CCI-approved acquisition of the portfolio management services business from related entity Axis Securities to expand HNI reach, R Sivakumar's elevation to CIO in March 2026 as part of an internal succession plan, and a Rs 500 crore mezzanine deployment into GPS Renewables' compressed biogas platform through the Alternates platform, signaling intent to scale private credit and ESG-linked offerings alongside the core mutual fund franchise.
Axis Asset Management Company firmographics
Firmographics- Name
- Axis Asset Management Company
- Legal name
- Axis Asset Management Company Ltd
- Website
- https://axisamc.com
- Company type
- Private
- Founded year
- 2009
- Operating status
- Operating
- Headcount range
- 1,001–5,000 employees
- Short description
- Axis Asset Management Company (Axis Mutual Fund) is a Mumbai-based, privately-held Indian asset manager founded in 2009 managing over Rs 3.75 lakh crore (~$45B) in equity, debt, and alternative funds for retail SIP investors, HNIs, and institutions, with Schroders Capital as a 25% strategic shareholder.
- Ownership category
- akta.pro rank
Axis Asset Management Company industry classification
Industry- Product category
- Asset Management
- NAICS
- Portfolio Management and Investment Advice (523940), Portfolio Management and Investment Advice (52394), Open-End Investment Funds (525910), Open-End Investment Funds (52591)
- SIC
- Investment Advice (6282)
- akta.pro primary industry
- Global Equity (Active) (FSAAAIAD)
- akta.pro secondary industries
- Private Markets Fund of Funds (PE / VC / Private Credit FoF) (FSAHAKAF), Endowment / OCIO-Style Multi-Manager Platforms (FSANAGAG), Venture Growth / Recurring Revenue Credit Funds (FSANAIAG)
Keywords
Where Axis Asset Management Company is headquartered
LocationHeadquarters
- HQ city
- Mumbai
- HQ country
- India
- HQ region
- Asia
Markets served
Axis Asset Management Company business model
Business model- GTM type
- B2B and B2C
- Offering type
- Services
- Cost components
- Personnel, Marketing or Sales, Operations, Technology or R&D, Infrastructure
Revenue model
- Asset Management Fees: Axis AMC generates revenue primarily through management fees charged as a percentage of Assets Under Management (AUM). The firm manages over Rs 3.75 lakh crore in AUM as of February 2026, with fee income accruing across equity, debt, and alternative fund categories.
Go-to-market motion2 records
Distribution channels3 records
Marketing channels3 records
Axis Asset Management Company product offering
Product offeringCore offering
Axis Asset Management Company manages a diversified suite of mutual fund schemes — including flexi-cap, large-cap, mid-cap, global/overseas fund-of-funds, and gold ETF categories — alongside a Portfolio Management Services business for HNIs and an Alternates platform for private credit and infrastructure investments. Revenue is generated primarily through management fees charged as a percentage of Assets Under Management, which stood at over Rs 3.75 lakh crore as of February 2026.
Product overview
Axis Asset Management Company operates as an asset management company offering a diversified portfolio of mutual fund schemes. The product portfolio spans multiple categories including flexi-cap, large-cap, and mid-cap equity funds, global overseas funds (currently with suspended subscriptions due to RBI caps), and precious metals funds. The company manages over Rs 3.75 lakh crore in assets under management as of February 2026. The core offerings include Axis Flexi Cap Fund (Rs 12,625 crore AUM), Axis Midcap Fund (launched 2011), Axis Large Cap Fund, and three overseas funds-of-funds. The fund house has plans to launch a Specialised Investment Fund and expand private credit offerings as part of its growth strategy.
Differentiator
Problem solved
Functional benefit
Products and services
- Axis Flexi Cap Fund A flexi-cap equity mutual fund that invests across large, mid, and small-cap stocks with dynamic allocation. The fund delivered 2.0% six-month returns as of June 2026 and is designed for retail and HNI investors seeking diversified equity exposure across market capitalisations.
- Axis Midcap Fund A mid-cap equity mutual fund launched in 2011, targeting growth opportunities in mid-sized companies. The fund has generated approximately 21% rolling returns over three years and is positioned as one of the firm's top midcap offerings for investors seeking mid-cap equity exposure.
- Axis Large Cap Fund A large-cap equity mutual fund focusing on the top 100 companies by market capitalization. The fund invests in blue-chip Indian equities and is targeted at investors seeking relatively stable large-cap equity exposure, though it has lagged the Nifty 100 TRI benchmark across multiple timeframes.
- Axis Global Equity Alpha Fund of Fund An overseas fund of fund providing Indian investors with global equity exposure. Effective May 6, 2026, fresh subscriptions were temporarily suspended due to RBI caps on the mutual fund industry's total overseas investments; existing systematic transactions and redemptions continue uninterrupted.
- Axis Global Innovation Fund of Fund An overseas fund of fund providing exposure to global innovation-themed equities. Fresh subscriptions were temporarily suspended effective May 6, 2026 due to RBI caps on overseas investments by Indian mutual funds.
- Axis Greater China Equity Fund of Fund An overseas fund of fund investing in Greater China equities. Fresh subscriptions were temporarily suspended effective May 6, 2026 in line with RBI caps on the mutual fund industry's total overseas investments.
- Axis Gold Fund A gold exchange-traded fund (ETF) that tracks gold prices on MCX, providing investors with exposure to physical gold prices through a demat-friendly mutual fund structure. Gold prices on MCX surged over 12% in FY 2023-24.
- Portfolio Management Services (PMS) A discretionary portfolio management service for high net worth individuals and family offices acquired from Axis Securities and approved by the Competition Commission of India in February 2026. It provides personalised, actively managed investment portfolios with premium advisory services.
- Alternates Platform An alternative investments platform that deploys capital into private credit, infrastructure financing, and ESG-linked investments. The platform provides mezzanine financing for high-growth sectors such as clean energy (e.g., Rs 500 crore funding to GPS Renewables' Arya CBG platform) and is part of the firm's expansion into alternative asset classes.
Quantifiable outcome
- Axis Flexi Cap Fund delivered 10.2% return over six months and 19.1% CAGR over three years as of June 24, outperforming benchmark by 16 percentage points on a one-year basis and 9 percentage points on a three-year basis.
- +2 more outcomes
Companies that use Axis Asset Management Company
Customer profileNamed customers2 records
Segments4 records
Ideal customer profiles4 records
Axis Asset Management Company technology and API
TechnologyTechnology focussed No
API detail
- Has API
- No
- API docs
- API detail
Core technology
AI maturity
App detail
Axis Asset Management Company partnerships and signals
Strategic signalPartnerships
Two partnerships are on record, tiered minor.
- Indian Oil Corporation LimitedminorGPS Renewables operates CBG projects through a joint venture with Indian Oil Corporation Limited. Axis AMC's mezzanine funding to the Arya platform supports these IOCL-backed CBG projects across India.
- Bharat Petroleum Corporation LimitedminorGPS Renewables operates CBG projects through a joint venture with Bharat Petroleum Corporation Limited. Axis AMC's funding to the Arya platform supports BPCL-linked CBG projects across India.
Scale indicators5 records
Recent moves6 records
Expansion highlights6 records
Axis Asset Management Company competitors and assessment
Company assessmentDirect peers
- HDFC Asset Management: One of India's largest AMCs and a direct competitor to Axis AMC across equity, debt, and hybrid mutual fund categories. Comparable in product breadth, distribution reach and institutional client base, and frequently benchmarked head-to-head on equity performance and SIP flows.
- ICICI Prudential Asset Management: Top-three Indian AMC with a comparable mix of equity, debt, and hybrid funds, distributed primarily through ICICI Bank's branch network. Direct head-to-head competitor for retail SIPs, HNI mandates, and institutional AUM against Axis AMC.
- SBI Funds Management: Largest Indian AMC by AUM, leveraging SBI's unparalleled distribution footprint. Directly comparable to Axis AMC across all major mutual fund categories and the dominant competitor for B-30 city and retail SIP flows.
- Nippon Life India Asset Management: Top-five Indian AMC with comparable product suite across equity, debt and ETFs, and a similar foreign-strategic shareholder structure (Nippon Life). Competes directly with Axis AMC for retail and institutional AUM.
- Aditya Birla Sun Life AMC: Top-five Indian AMC with a similar diversified product offering and strong bancassurance distribution through Aditya Birla Capital. Comparable to Axis AMC on category breadth, equity performance and HNI/PMS offerings.
- Kotak Mahindra Asset Management: Top-ten Indian AMC with overlapping equity, debt and hybrid fund range distributed through Kotak Bank's network. Direct peer for retail SIP flows and HNI PMS mandates alongside Axis AMC.
- UTI Asset Management: Large established Indian AMC with comparable product mix and institutional client base, including a public listing that provides a useful valuation benchmark. Competes with Axis AMC across equity categories and B-30 retail expansion.
- DSP Asset Managers: Mid-sized Indian AMC with a strong equity franchise and active-management heritage broadly comparable to Axis AMC's positioning. Competes for retail and HNI equity AUM and is similarly exposed to SEBI TER caps and passive competition.
- Mirae Asset Investment Managers (India): Indian AMC arm of a global asset manager with comparable equity-led product mix and strong global-investing capabilities. Direct competitor to Axis AMC's global FoFs and midcap equity offerings, with similar foreign-strategic-shareholder dynamics.
Emerging players
- Motilal Oswal Asset Management: India-focused AMC specializing in active midcap/smallcap and passive index/thematic strategies. Comparable to Axis AMC on midcap and equity research-driven investing, with similar B-30 retail reach via digital distribution.
Market position
Strengths5 records
Weaknesses5 records
Competitive moat6 records
Key risks6 records
Key highlights7 records
Customer concentration
Axis Asset Management Company financial estimates
Financial estimateRevenue estimate
Valuation estimate
Axis Asset Management Company leadership team
Management profileNumber of profiles
Profiles6 records
Axis Asset Management Company funding detail
Funding detailFunding overview
Funding rounds
Investors
Funding detail is available on the Subscription and Enterprise plan.Contact sales →
Axis Asset Management Company M&A and investment
M&A and investmentM&A1 record
Investments6 records
M&A and investment is available on the Subscription and Enterprise plan.Contact sales →
Frequently asked questions about Axis Asset Management Company
What does Axis Asset Management Company do?
Axis Asset Management Company manages a diversified suite of mutual fund schemes — including flexi-cap, large-cap, mid-cap, global/overseas fund-of-funds, and gold ETF categories — alongside a Portfolio Management Services business for HNIs and an Alternates platform for private credit and infrastructure investments. Revenue is generated primarily through management fees charged as a percentage of Assets Under Management, which stood at over Rs 3.75 lakh crore as of February 2026.
Is Axis Asset Management Company a public or private company?
Axis Asset Management Company is a private company. It is classified as private equity controlled and is currently operating.
When was Axis Asset Management Company founded?
Axis Asset Management Company was founded in 2009. It employs 1,001 to 5,000 people.
Where is Axis Asset Management Company based?
Axis Asset Management Company is headquartered in Mumbai, India, in the Asia region.
How does Axis Asset Management Company make money?
One revenue line is on record: asset Management Fees.
Who are Axis Asset Management Company's main competitors?
Direct peers on record are HDFC Asset Management, ICICI Prudential Asset Management, SBI Funds Management, Nippon Life India Asset Management, Aditya Birla Sun Life AMC, Kotak Mahindra Asset Management, UTI Asset Management, DSP Asset Managers and Mirae Asset Investment Managers (India). Motilal Oswal Asset Management is listed as an emerging player.
Does Axis Asset Management Company have an API?
No public API is recorded for Axis Asset Management Company.
What industry is Axis Asset Management Company in?
Axis Asset Management Company's product category is Asset Management. Its primary akta.pro industry code is FSAAAIAD, Global Equity (Active), with a secondary code of FSAHAKAF, Private Markets Fund of Funds (PE / VC / Private Credit FoF). Its NAICS code is 523940 and its SIC code is 6282.