The Axis Large Cap Fund invests primarily in large‑cap stocks, targeting steady growth with comparatively lower volatility among equity funds. Its 3‑year return is ~11.85% and 5‑year ~15.6% CAGR, in line with large‑cap category averages (~15‑17%). Top sector exposures include private banks (~19.4%), IT services (~7.7%), construction & engineering (~7.1%). The fund is suited for investors looking for large‑cap equity exposure over a 5‑+ year horizon with moderate risk tolerance.