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Axis Pension Fund · All NPS schemes

Axis Pension Fund Management Limited Scheme C - Tier I GS

Scheme C — Tier I · GS

Axis Pension Fund Management Limited Scheme C - Tier I GS closed at a NAV of ₹13.18 on 01 Oct 2026, a +7.27% annualised return over three years.

NAV · 01 Oct 2026
₹13.18
1 year
+4.62%
5Y CAGR
—
Max drawdown
-1.00%

NAV history

+4.60%CAGR

Returns

1 year
+4.62%
3 years
+7.27%
5 years
—
10 years
—
Since launch
+7.25%
Max drawdown
-1.00%
Volatility
1.50%

Returns over a year are CAGR; since-launch under a year is absolute. Volatility is the annualised standard deviation of daily returns.

About this scheme

Pension fund
AXIS PENSION FUND MANAGEMENT LIMITED
Scheme
Scheme C — Tier I
Variant
GS
Scheme ID
SM013012
First NAV
21 Oct 2022
NAVs on record
962

Scheme C — Tier I at other pension funds

Pension fund1Y3Y5Y
SBI Pension Funds+4.86%+7.49%+6.41%
UTI Pension Fund+4.96%+7.46%+6.34%
LIC Pension Fund+4.35%+7.13%+6.14%
Kotak Mahindra Pension Fund+5.07%+7.50%+6.37%
ICICI Pension Fund+4.88%+7.47%+6.44%
HDFC Pension Fund+4.75%+7.57%+6.59%
Aditya Birla Sunlife Pension Fund+4.31%+7.24%+6.31%
Tata Pension Fund+4.19%+7.29%—
DSP Pension Fund Managers+4.81%——

Source: NAVs published by NPS Trust. Past returns do not predict future ones, and nothing here is advice.