A STUDY ON IMPACT OF PERFORMANCE ANALYSIS OF AXIS MUTUAL FUND NAGPUR

Authors

  • Shrutika Rajuji Hatwar, Dr.Atul Tekade Author

Abstract

This study explores the impact of performance analysis of Axis Mutual Fund in Nagpur, a leading investment option for retail and institutional investors. The research focuses on evaluating the fund's historical returns, risk-adjusted performance, and its consistency in comparison to industry benchmarks. The study employs various financial metrics, including Net Asset Value (NAV), Sharpe Ratio, and Beta, to measure the fund's performance across different time periods. By examining the investment strategies, market conditions, and fund management practices, the research identifies key factors contributing to Axis Mutual Fund's success or challenges in the Nagpur region. The study also investigates investor sentiment and behavior, shedding light on how the fund's performance influences investment decisions. Ultimately, the research provides valuable insights into the effectiveness of mutual fund investments, assisting potential investors in making informed decisions while assessing the potential risks and returns associated with Axis Mutual Fund.

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Published

2025-06-05

Issue

Section

Articles