 
      Axis Floater Fund Direct Monthly Payout Inc Dist cum Cap Wdrl
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        NAV on October 30, 2025
      
      
        Category
        Fixed income: 
Floating Rate
    Floating Rate
        Interest rate sensitivity
Credit quality
            
    
      
    Extensive Sensitivity High Quality
  
        
      
    Credit quality
        Total Assets
        128 cr
      
      
        Turnover Ratio
        605.83%
      
    
        Expense Ratio
        0.19%
      
      
  Exit Load
  
      -
  
    
  Returns
- 1M: 0.77%
- 1Y: 7.88%
- 3M: 1.06%
- 3Y: 8.47%
- 6M: 1.71%
- 5Y: N/A
Best Floating Rate Funds
| NAME | LATEST NAV | RETURNS 1y | FUND ASSETS | Expense RATIO | RISK | |
| 13.469 | 8.69% | 298 cr | 0.12% | Average | ||
  
Other plans of Axis Floater Fund
 
          
           
           
          