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Scheme Snapshot - Axis Treasury Advantage Fund

Fund Axis Treasury Adv (I-Week)
NAV
(Oct 18th, 2021)
1,011.63
Class Debt - Short Term
Type Open Ended
Inception Date Oct 8th, 2009
Fund Manager Mr.Devang Shah
Fund Axis Treasury Adv (I-Week)
Initial Price 1,000
Min.Inv.Amount 5,000
Entry Load Nil
Exit Load Nil

Objectives

To provide optimal returns and liquidity to the investors by investing primarily in a mix of money market and short term debt instruments which results in a portfolio having marginally higher maturity as compared to a liquid fund at the same time maintaining a balance between safety and liquidity.

Percentage Returns

Returns in % 1 Month Ago 3 Months Ago 1 Year Ago 3 Year Ago
Axis Treasury Adv (I-Week) -0.03% -0.11% -0.08% 0.52

Amount Returns (Rs. cr.)

1 Month Ago 3 Months Ago 1 Year Ago 3 Year Ago
1,011.91 1,012.74 1,012.47 1,006.43

Contact Details

Head Office
AddressAxis House, 1st Floor, C-2, Wadia International Centre, Pandurang Budhkar Marg, Worli,, Mumbai, Maharashtra, India, 400025
Emailcustomerservice@axismf.com
Websitehttp://www.axismf.com
Fax43255199
Phone43255161

Registrar

KFIN Technologies Pvt. Ltd.
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