Axis Treasury Advantage Fund - Direct Plan - Daily Dividend Option

Fund Returns

NAV Rs. 1,012.47 0.00 %
(as on Nov. 23, 2020)
1 yr Return 0.51 %
3 yr. Return 0.17 %

Fund Returns

NAV 1 yr Return 3 yr. Return 5 yr. Return
Rs. 1,012.47 0.00 %
(as on Nov. 23, 2020)
0.51 % 0.17 % N/A

Fund: "Axis Treasury Advantage Fund - Direct Plan - Daily Dividend Option" investment details

Min. Investment 5000.0
Min. Investment SIP 1000.0
Min. Additional Investment 1.0
Exit Load Nil