Axis Treasury Advantage Fund - Direct Plan - Weekly IDCW
Axis Asset Management Co. Ltd.
Debt SchemeLow Duration Fund
Current NAV
₹1013.44
+0.06%
Rating:(0/5)
Total AUM
₹0.78 Cr
Domestic₹0.00 Cr
Overseas₹0.78 Cr
Expense Ratio
0.00%
Min Investment
₹0
Risk Level
Moderate
Returns
1 Month
+0.19%
3 Months
+0.18%
6 Months
+0.21%
1 Year
+0.29%
3 Years
+0.05%
5 Years
+0.02%
Top Holdings
Sector Allocation
Fund Manager
Mr. Devang Shah,Mr. Aditya Pagaria
Fund Manager
Tenure
0.0 years
Experience
0 years
Risk Metrics
Sharpe Ratio
0.00
Beta
0.00
Alpha
0.00%
Std Deviation
0.00%