Bharti AXA Build India Fund

Equity Fund
High Risk
Last Updated: 05 Sep 2025
AUM: ₹37 Cr
Assets under management (AUM) is the total market value of the investments that a person or entity manages on behalf of clients. Assets under management definitions and formulas vary by company.
NAV: ₹60.75
0.05%
NAV, or Net Asset Value, is the value of an investment fund’s assets minus its liabilities. It is calculated by dividing the total value of the fund’s assets by the number of outstanding shares. It is used as an indicator of a fund’s performance and can be compared to its previous NAVs.
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  • Returns Since Inception
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  • RSI
17.55% Annual returns
Build India Fund
Performance Graph
As on 05/09/2025 
| Data Source - Value research
Fund Definition: To produce better risk adjusted return than the benchmark and capital appreciation through exposure to equity investments in infrastructure and allied sectors.

Returns (as on 05 Sep 2025)

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About Bharti AXA Build India Fund

Bharti AXA Build India Fund is a Equity Fund launched on 22-01-2010, designed to offer long-term capital growth by investing in a mix of high-quality assets. The fund currently manages an AUM of over ₹37 Cr, with a Net Asset Value (NAV) of ₹60.75 (as of 05/09/2025).

Over time, Bharti AXA Build India Fund has shown stable growth with 12.45 % CAGR over 3 years, 17.55 % CAGR over 5 years. For longer horizons, it has delivered 12.67 % CAGR over 7 years, 13.95 % CAGR over 10 years, Return Since Inception (RSI) of 12.29%, highlighting its consistent performance track record.

Highlights of Bharti AXA Build India Fund

  • It is benchmarked against the NIFTY 100 TRI, which delivered 18.55% in the same period.
  • The fund maintains a strong allocation with Equity holding: 98.45%, ideal for long-term growth.
  • Major sector exposure includes Others holding: 58.24%, Financial holding: 17.02%, Energy holding: 7.41%, offering Conservative diversification.
  • It offers solid long-term growth with 12.67% returns over 7 years and 13.95% returns over 10 years.
  • Since its launch on 22-01-2010, Bharti AXA Build India Fund has achieved a Return Since Inception (RSI) of 12.29%.
  • Short-term performance remains steady, with 0.53% in 3 months, 10.96% in 6 months, and Year-to-Date (YTD) return of 2.2%.
  • Managed by Bharti AXA, Bharti AXA Build India Fund is designed for investors seeking Conservative returns with moderate risk exposure.

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Asset Allocation
Equity holding
Debt holding
Cash holding

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Sector Allocation
Others
58.24%
Financial
17.02%
Energy
7.41%
Technology
7.06%
Consumer Staples
3.08%
Communication
2.83%
Construction
2.81%
Automobile
2.44%
View more

AUM (Assets under management)
Equity:
₹36 Cr
Debt:
₹1 Cr
Fund Manager(s)
Amit Sureka

Oversees a broad portfolio of equity, debt and balanced funds, demonstrating expertise across diverse investment strategies

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Frequently Asked Questions
Bharti AXA Build India Fund
Bharti AXA Build India Fund is a Equity Fund launched on 22-01-2010. It aims to provide long-term capital growth by investing in a diversified portfolio.
As of 05 Sep 2025, the Net Asset Value (NAV) of Bharti AXA Build India Fund is ₹60.75.
Bharti AXA Build India Fund is suitable for investors looking for moderate risk and stable long-term returns without full exposure to equity market volatility.
Build India Fund is not Shariah-compliant.
Bharti AXA Build India Fund has been in the market since 22-01-2010, providing a long and reliable performance history.

To produce better risk adjusted return than the benchmark and capital appreciation through exposure to equity investments in infrastructure and allied sectors.
In the last 3 months, Bharti AXA Build India Fund has delivered 0.53% returns, over 6 months it achieved 10.96%, and the Year-to-Date (YTD) return is 2.2%.
Over the past year, Bharti AXA Build India Fund has delivered a return of approximately 0% CAGR, making it a competitive performer.
Bharti AXA Build India Fund is benchmarked against the NIFTY 100 TRI, which delivered about 18.55% return in the same period. The fund has underperformed its benchmark in recent years.
The fund mainly invests in sectors like Others holding: 58.24%, Financial holding: 17.02%, Energy holding: 7.41%, which together form a major part of its portfolio allocation.
The fund primarily allocates 98.45% to Equity holding, making it Conservative in nature, depending on the fund's investment style.

View more FAQ's

*The Returns in ULIP plans are subject to market risk and are not guaranteed. The investment risk in the policy is borne by the policyholder. The actual returns can vary depending on the performance of the chosen fund, charges towards mortality, allocation, policy admin, cost of riders, etc. The 4% and 8% illustration is neither the minimum or maximum limit that you may get as a policyholder.

*The maturity amount of Rs 1 Cr. is for a 30 year old healthy individual investing Rs 10,000/- per month for 30 years, with assumed rates of returns @ 8% p.a. that is not guaranteed and is not the upper or lower limits as the value of your policy depends on a number of factors including future investment performance. The investment risk in the portfolio is borne by the policyholder. Life insurance is available in this product. For more details on risk factors, terms and conditions, please read the sales brochure carefully before concluding a sale.

*The maturity amount of Rs 50 Lakhs. is for a 30 year old healthy individual investing Rs 10,000/- per month for 30 years, with assumed rates of returns @ 4% p.a. that is not guaranteed and is not the upper or lower limits as the value of your policy depends on a number of factors including future investment performance. The investment risk in the portfolio is borne by the policyholder. Life insurance is available in this product.

˜Top plans are based on annualized premium, for bookings made through https://www.policybazaar.com in FY 25. Policybazaar does not endorse, rate or recommend any particular insurer or insurance product offered by any insurer. This list of plans listed here comprise of insurance products offered by all the insurance partners of Policybazaar. For a complete list of insurers in India refer to the Insurance Regulatory and Development Authority of India website, www.irdai.gov.in

^Returns as on 10th Jan'25. 18% returns for Tata AIA Life Top 200 for the last 10 years.The past performance is not necessarily indicative of future performance. Source: Morningstar

++Source -: Google Review Rating available on: http://bit.ly/3J20bXZ

All Data Source: Value Research

TERMS AND CONDITIONS APPLY.For more details on risk factors, terms, and conditions, please read the sales brochure and benefit illustration carefully before concluding a sale.

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