Sachin Jain
Fund Manager – Fixed Income at Axis
Schemes named on
12
Managing since
09 Nov 2021
Background
- Qualifications
- PGDM, B.TECH
- Experience
- last 10 years 10 years, his last 10 years’ Devang experience are as follows: • Dealer - Fixed Income, Axis Asset Management Company Ltd. (July 11, 2017 - with till date) • Trader – Fixed Income, Sundaram Asset Management Company Ltd. (June 3, 2013 – July 10, 2017) • Dealer – Fixed Income, ICAP Ltd. (November 9, 2010 – May 31, 2013) • Dealer – Fixed Income, Sundhi Securities and Finance Ltd. - 34 - (November 2, 2009 – October 29, 2010)
Funds Sachin Jain manages
12Ranked by 3Y CAGR. Schemes without a three-year record yet are not listed. Open a fund for NAV history, rolling returns, risk metrics and peer rank.
| 1 | Axis Multicap Fund | ★★★★★ | +12.0% | +22.1% | — | 1.10% | ₹9,775Cr |
| 2 | Axis Strategic Bond Fund | ★★★★★ | +7.3% | +8.6% | +7.5% | 0.72% | ₹2,085Cr |
| 3 | Axis Gilt Fund | ★★★★★ | +5.8% | +7.6% | +6.4% | 0.46% | ₹431.63Cr |
| 4 | Axis Crisil IBX 50:50 Gilt Plus SDL September 2027 Index Fund | ★★★☆☆ | +6.0% | +7.5% | — | 0.15% | ₹35.65Cr |
| 5 | Axis Money Market Fund | ★★★☆☆ | +6.5% | +7.5% | +6.7% | 0.16% | ₹19,509Cr |
| 6 | Axis Ultra Short Duration Fund | ★★★☆☆ | +6.7% | +7.4% | +6.7% | 0.36% | ₹5,612Cr |
| 7 | Axis Arbitrage Fund | ★★★☆☆ | +6.6% | +7.4% | +6.8% | 1.45% | ₹9,735Cr |
| 8 | Axis Conservative Hybrid Fund | ★★☆☆☆ | +3.4% | +7.4% | +6.6% | 1.11% | ₹218.53Cr |
| 9 | Axis Nifty SDL September 2026 Debt Index Fund | ★★★☆☆ | +5.9% | +7.3% | — | 0.16% | ₹65.62Cr |
| 10 | Axis Fixed Term Plan - Series 113 (1228 Days) | ★★★☆☆ | +6.2% | +7.2% | — | 0.12% | ₹101.78Cr |
| 11 | Axis Liquid Fund | ★★★★★ | +6.5% | +7.0% | +6.4% | 0.13% | ₹55,968Cr |
| 12 | Axis Overnight Fund | ★★★★☆ | +5.3% | +6.2% | +5.7% | 0.09% | ₹12,334Cr |
NAV data as of 20 Aug 2026. Role, qualifications and tenure are disclosures from Axis’s Scheme Information Documents and Statement of Additional Information — SEBI filings, not our assessment of anyone. 3 of the 12 scheme assignments come from another of the house’s filings naming them rather than from that scheme’s own document, so that list may be incomplete. Returns are computed from AMFI NAV history; see our methodology. A fund’s performance is not attributable to one person, and nothing here is investment advice.