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Fund List

Fund Name NAV Corpus (Rs. Cr.) Annual Return Asset Class
Axis Banking Debt Fund 1510.06 610.81 7.79 Short Term Income Plans
Axis Children's Gift Fund 11.16 296.14 9.88 Balanced - Equity Oriented
AXIS Constant Maturity 10 Year Fund 14.80 86.94 10.11 Gilt - Long Term
Axis Capital Protection Oriented Fund - Series 5 14.28 50.46 8.82 Capital Protection
Axis Dynamic Bond Fund 17.05 336.57 10.51 Long Term Income
Axis Emerging Opportunities Fund - Series 1 (1400 Days) 10.85 530.78 -- Equity - Mid-cap
Axis Emerging Opportunities Fund - Series 2 (1400 Days) 10.44 1127.66 -- Equity - Mid-cap
Axis Enhanced Arbitrage Fund 12.00 609.33 6.31 Arbitrage - Equity
Axis Equity Fund 21.66 1888.62 16.86 Equity - Multi-cap
Axis Equity Saver Fund 11.04 732.54 10.67 Arbitrage - Equity
Axis Fixed Income Opportunities Fund 12.95 1832.83 8.69 Short Term Income Plans
Axis Focused 25 Fund 22.08 1307.11 26.97 Equity - Multi-cap
Axis Fixed Term Plan - Series 49 (437 days) 13.04 50.37 8.34 Fixed Maturity Plans
Axis Fixed Term Plan - Series 52 (428 days) 13.06 30.81 8.51 Fixed Maturity Plans
Axis Fixed Term Plan - Series 64 (715 days) 12.85 8.59 8.44 Fixed Maturity Plans
Axis Fixed Term Plan - Series 67 (1218 days) 12.85 63.78 8.13 Fixed Maturity Plans
Axis Fixed Term Plan - Series 69 (3 Years) 12.66 28.53 7.64 Fixed Maturity Plans
Axis Fixed Term Plan - Series 74 (1105 Days) 11.97 35.73 8.91 Fixed Maturity Plans
Axis Gold ETF 2600.88 179.74 8.11 Gold ETFs
Axis Gold Fund 9.27 61.86 6.84 FOF - Gold
Axis Hybrid Fund - Series 11 12.09 225.21 14.45 Balanced - Debt-Oriented
Axis Hybrid Fund - Series 12 11.97 305.22 14.03 Balanced - Debt-Oriented
Axis Hybrid Fund - Series 13 11.85 550.57 13.54 Balanced - Debt-Oriented
Axis Hybrid Fund - Series 14 11.40 530.71 12.71 Balanced - Debt-Oriented
Axis Hybrid Fund - Series 15 11.31 367.50 12.48 Balanced - Debt-Oriented
Total Results : 1-25 / 2181
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