Axis Treasury Advantage Fund Direct Plan Monthly Pyt of Inc Dis cum Cap Wdrl
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NAV on January 16, 2026
Category
Fixed income:
Low Duration
Low Duration
Interest rate sensitivity
Credit quality
Limited Sensitivity High Quality
Credit quality
Total Assets
5,979 cr
Turnover Ratio
366.84%
Expense Ratio
0.35%
Exit Load
-
Returns
- 1M: 0.37%
- 1Y: 7.61%
- 3M: 1.32%
- 3Y: 7.65%
- 6M: 2.92%
- 5Y: 6.39%
Best Low Duration Funds
| NAME | LATEST NAV |
RETURNS 1y |
FUND ASSETS |
Expense RATIO |
RISK | |
| 30.265 | 12.59% | 544 cr | 0.33% | Above Average | ||
| 31.289 | 8.87% | 1,270 cr | 0.39% | Above Average | ||
| 3357.183 | 7.61% | 5,979 cr | 0.35% | Average | ||
| 570.708 | 7.58% | 31,023 cr | 0.42% | Average | ||
| 3770.517 | 7.58% | 15,809 cr | 0.42% | Above Average | ||
| 4107.893 | 7.58% | 10,406 cr | 0.38% | Below Average | ||
| 752.374 | 7.55% | 15,556 cr | 0.42% | Average | ||
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