|Fund Type||Open Ended|
|Asset Size(Cr)||2022.68 (As on Oct 31, 2018)|
|Fund Manager||Devang Shah , Aditya Pagaria|
|Notes||Axis Treasury Advantage Fund - Institutional Plan renamed as Axis Treasury Advantage Fund w.e.f. January 01, 2013. The Scheme is open for fresh/additional purchases/switch-in|
|Min SIP Investment||1000|
|Min Addl Investment||1000|
|Last Dividend||1.66 (Dec-26-2016)|
- Returns for less than one year are Absolute, and those for more than one year are Annualised (CAGR).
|Fund Name||Ratings||1 Yr Rtn.||3 Yr Rtn.||5 Yr Rtn.|
|Franklin India Low Duration Fund (G)||7.91%||8.76%||9.24%|
|L&T Low Duration Fund (G)||6.08%||8.16%||8.69%|
|ICICI Prudential Savings Fund (G)||6.89%||7.77%||8.33%|
|Kotak Low Duration Fund (G)||6.95%||7.76%||8.39%|
|UTI Treasury Advantage Fund (G)||6.98%||7.72%||8.24%|
|No. of Investment||Amount Invested||Investment Value As on date||Units Purchased||CAGR|
| No. of Investment
|| Amount Invested
|| Investment Value As on date
|| Units Purchased || CAGR
The graph depicts the wealth generated or the historical returns offered by the SIP investments made in the selected time horizon.
|Total Amount Invested||Investment Value As on Date||Total Units Purchased||Abs. Return|
| Total Amount Invested
|| Investment Value As on Date
|| Total Units Purchased || Abs. Return
The graph depicts the wealth generated or the historical returns offered by the lump sum investments made in the selected time horizon.
|Sector||Value(In Cr)||Allocation (%)|
|Holdings||Instrument||Industry||Rating||Market Value||% to NAV|
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