1 Year Absolute Returns
6.78% ↑
NAV (₹) on 08 Apr 2026
11.17
1 Day NAV Change
0.19%
Risk Level
Low to Moderate Risk
Rating
-
Axis CRISIL IBX AAA Bond NBFC - Jun 2027 Index Fund is a Debt mutual fund categorized under Index, offered by Axis Asset Management Company Ltd.. Launched on 13 Sep 2024, investors can start with a ... Read more
AUM
₹ 1,638.68 Cr
| Sectors | Weightage |
|---|---|
| Debt | 94.51% |
| Net Receivables/(Payables) | 5.50% |
| Name | Weightage | Value (in Cr.) | Sector |
|---|---|---|---|
| 8.25% Mahindra & Mahindra Financial Services Limited (25/03/2027) | 12.80% | ₹ 105.17 | Others |
| 8.285% Tata Capital Limited (10/05/2027) | 11.78% | ₹ 96.78 | Others |
| 8.3324% HDB Financial Services Limited (10/05/2027) | 11.03% | ₹ 90.64 | Others |
| 8.33% Aditya Birla Capital Limited (19/05/2027) | 9.91% | ₹ 81.41 | Others |
| 8.12% Kotak Mahindra Prime Limited (21/06/2027) | 7.56% | ₹ 62.12 | Others |
| 8.12% Sundaram Finance Limited (21/06/2027) | 6.82% | ₹ 56.04 | Others |
| 8.24% L&T Finance Limited (16/06/2027) | 6.19% | ₹ 50.89 | Others |
| 8.1929% Kotak Mahindra Investments Limited (28/01/2027) | 5.55% | ₹ 45.64 | Others |
| 7.2337% Bajaj Finance Limited (28/06/2027) | 5.49% | ₹ 45.12 | Others |
| 8.35% Axis Finance Limited (07/05/2027) | 4.70% | ₹ 38.60 | Others |
| 6.99% Sundaram Finance Limited (28/05/2027) | 3.65% | ₹ 30 | Others |
| 8.225% Kotak Mahindra Prime Limited (21/04/2027) | 3.10% | ₹ 25.45 | Others |
| 7.70% Bajaj Finance Limited (07/06/2027) | 3.08% | ₹ 25.27 | Others |
| 8.1167% Bajaj Finance Limited (10/05/2027) | 2.97% | ₹ 24.40 | Others |
| Net Receivables / (Payables) | 2.69% | ₹ 22.09 | Others |
| Clearing Corporation of India Ltd | 1.69% | ₹ 13.89 | Others |
| 8.3774% Kotak Mahindra Investments Limited (21/06/2027) | 0.62% | ₹ 5.10 | Others |
| 8.1% Bajaj Finance Limited (08/01/2027) | 0.37% | ₹ 3.04 | Others |
| Annualised returns | ||||
|---|---|---|---|---|
| 9M | 1Y | 2Y | 3Y | |
| Fund returns | 4.25% | 6.78% | - | - |
| Category returns | 2.60% | 4.61% | 13.50% | 20.67% |
The investment objective of the scheme is to provide investment returns before fees and expenses that closely corresponds to the total returns of the securities as represented by the CRISIL-IBX AAA ... Read more
|
Scheme Name
|
NAV
|
Returns
1Y
3Y
5Y
|
AUM (Cr)
|
Expense Ratio
|
Risk Meter
|
||
|---|---|---|---|---|---|---|---|
|
UTI BSE Sensex Index Fund
Index
Regular
|
₹13.88 | 5.37% | 33.10% | 0.00% | ₹203 | 0.29% |
Very High
|
|
Tata BSE Sensex Index Fund - Direct Plan
Index
Direct
|
₹206.47 | 5.30% | 32.99% | 61.79% | ₹399 | 0.29% |
Very High
|
|
HDFC BSE Sensex Index Fund
Index
Regular
|
₹719.17 | 5.24% | 32.77% | 61.87% | ₹8,869 | 0.36% |
Very High
|
|
Bandhan BSE Sensex ETF
ETF
Regular
|
₹838.89 | 5.26% | 32.76% | 61.85% | ₹1 | 0.38% |
Very High
|
|
HDFC NIFTY Growth Sectors 15 ETF
ETF
Regular
|
₹115.47 | 9.17% | 32.71% | 0.00% | ₹18 | 0.30% |
Very High
|
|
Mirae Asset Hang Seng TECH ETF
ETF
Regular
|
₹19.50 | 15.05% | 32.63% | 0.00% | ₹387 | 0.59% |
Very High
|
|
LIC MF BSE Sensex Index Fund - Direct Plan
Index
Direct
|
₹155.69 | 5.04% | 32.52% | 61.86% | ₹90 | 0.83% |
Very High
|
|
LIC MF BSE Sensex Index Fund - Direct Plan
Index
Direct
|
₹52.20 | 5.03% | 32.51% | 61.83% | ₹90 | 0.83% |
Very High
|
|
LIC MF BSE Sensex Index Fund - Direct Plan
Index
Direct
|
₹52.20 | 5.03% | 32.51% | 61.83% | ₹90 | 0.83% |
Very High
|
|
Nippon India Index BSE Sensex
Index
Regular
|
₹31.13 | 5.13% | 32.19% | 53.60% | ₹946 | 0.49% |
Very High
|
|
Scheme Name
|
NAV
|
Returns
1Y
3Y
5Y
|
AUM (Cr)
|
Expense Ratio
|
Risk Meter
|
||
|---|---|---|---|---|---|---|---|
|
Axis Flexi Cap Fund
Diversified
Regular
|
₹15.81 | 2.07% | 33.08% | 21.80% | ₹12,871 | 1.72% |
Very High
|
|
Axis Flexi Cap Fund
Diversified
Regular
|
₹15.81 | 2.07% | 33.08% | 21.80% | ₹12,871 | 1.72% |
Very High
|
|
Axis Nifty 50 Index Fund
Index
Regular
|
₹13.58 | 1.67% | 31.99% | 0.00% | ₹850 | 0.42% |
Very High
|
|
Axis Nifty 50 Index Fund
Index
Regular
|
₹13.58 | 1.67% | 31.99% | 0.00% | ₹850 | 0.42% |
Very High
|
|
Axis Equity Savings Fund
Hybrid
Regular
|
₹22.24 | 5.35% | 31.68% | 45.36% | ₹902 | 2.28% |
Moderately High
|
|
Axis Floater Fund
Income
Regular
|
₹1,008.18 | -1.70% | 0.29% | 0.00% | ₹151 | 0.49% |
Moderate
|
|
Axis Floater Fund
Income
Regular
|
₹1,008.18 | -1.70% | 0.29% | 0.00% | ₹151 | 0.49% |
Moderate
|
|
Axis Large & Mid Cap Fund
Diversified
Regular
|
₹18.49 | 3.35% | 30.95% | 23.60% | ₹15,559 | 1.68% |
Very High
|
|
Axis Large & Mid Cap Fund
Diversified
Regular
|
₹18.49 | 3.35% | 30.95% | 23.60% | ₹15,559 | 1.68% |
Very High
|
|
Axis Midcap Fund
Diversified
Regular
|
₹37.33 | 3.38% | 29.44% | 25.77% | ₹31,977 | 1.56% |
Very High
|
What is the current NAV of Axis CRISIL IBX AAA Bond NBFC - Jun 2027 Index Fund Regular IDCW?
What is the fund size (AUM) of Axis CRISIL IBX AAA Bond NBFC - Jun 2027 Index Fund Regular IDCW?
What are the historical returns of Axis CRISIL IBX AAA Bond NBFC - Jun 2027 Index Fund Regular IDCW?
What is the risk level of Axis CRISIL IBX AAA Bond NBFC - Jun 2027 Index Fund Regular IDCW?
What is the minimum investment amount for Axis CRISIL IBX AAA Bond NBFC - Jun 2027 Index Fund Regular IDCW?
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