MFIC › Fund managers › Jayesh Sundar

Jayesh Sundar

Fund manager of 7 schemes tracked by MFIC at Axis Mutual Fund, according to the schemes' Summary Documents. Returns from AMFI NAVs as of 3 Oct 2026.

Schemes
7
Earliest start listed
28 Sep 2023
3Y CAGR above category median
3 of 6
AUM of these schemes
₹37,916 cr
Schemes managed one line per scheme · Regular plan where available
SchemeCategoryManaging sinceTenure3Y CAGRCategory 3Y median5Y CAGRAUM (₹ cr)
Axis Aggressive Hybrid Fund
Axis Mutual Fund · Regular
Aggressive Hybrid28 Sep 20233.0 y7.4%8.7%5.1%1,408
Axis Balanced Advantage Fund
Axis Mutual Fund · Regular
Balanced Advantage28 Sep 20233.0 y9.5%7.5%7.8%3,654
Axis Conservative Hybrid Fund
Axis Mutual Fund · Regular
Conservative Hybrid28 Sep 20233.0 y5.0%6.7%4.4%217
Axis Large Cap Fund
Axis Mutual Fund · Regular
Large Cap4 Nov 20241.9 y6.8%7.5%4.0%29,326
Axis Retirement Fund - Aggressive Plan
Axis Mutual Fund · Regular
Retirement24 Jan 20242.7 y8.5%7.2%4.9%666
Axis Retirement Fund - Dynamic Plan
Axis Mutual Fund · Regular
Retirement24 Jan 20242.7 y9.4%7.2%5.9%269
Axis Consumption Fund
Axis Mutual Fund · Regular
Sectoral/Thematic3 Jul 20260.3 yn/a11.7%n/a2,375

Scheme returns cover the whole period shown, which may include years before this manager started; compare with the "Managing since" date. Most schemes have more than one listed manager, and results reflect the fund house's whole investment process, each scheme's mandate and market conditions. This page describes the past and is not a rating of the manager.

Questions
Which mutual fund schemes does Jayesh Sundar manage?
According to the schemes' Summary Documents, Jayesh Sundar is a listed fund manager of 7 schemes tracked by MFIC: Axis Large Cap Fund, Axis Consumption Fund, Axis Aggressive Hybrid Fund, Axis Balanced Advantage Fund, Axis Conservative Hybrid Fund, Axis Retirement Fund - Aggressive Plan, Axis Retirement Fund - Dynamic Plan.
Since when has Jayesh Sundar managed these schemes?
The earliest start date listed is 28 Sep 2023. Dates for each scheme are in the table on this page.
Data & disclosure. Fund manager names and start dates as stated in each scheme's Summary Document (SEBI format) published via AMFI; names are matched as written, so a person listed with different spellings may appear twice. Returns from AMFI NAVs, calculated by MFIC. Educational information, not investment advice. Mutual fund investments are subject to market risks; read all scheme-related documents carefully. Integrato Financial Services Pvt. Ltd. is an AMFI-registered Mutual Fund Distributor (ARN-173155).
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