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Dividend History - Axis Treasury Advantage Fund

Fund Axis Treasury Adv (G)
NAV
(Sep 24th, 2021)
2,450.78
Class Debt - Short Term
Type Open Ended
Inception Date Oct 8th, 2009
Fund Manager Mr.Devang Shah
Fund Axis Treasury Adv (G)
Initial Price 1,000
Min.Inv.Amount 5,000
Entry Load Nil
Exit Load Nil

Percentage Returns

Returns in % 1 Week Ago 1 Month Ago 3 Months Ago 6 Months Ago 9 Months Ago 1 Year Ago
Axis Treasury Adv (G) 0.03% 0.28% 1.08% 2.24% 2.98% 4.40%
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