Axis Treasury Advantage Fund - Monthly Dividend Option

Fund Returns

NAV Rs. 1,009.77 0.00 %
(as on Nov. 27, 2020)
1 yr Return 0.33 %
3 yr. Return 0.12 %

Fund Returns

NAV 1 yr Return 3 yr. Return 5 yr. Return
Rs. 1,009.77 0.00 %
(as on Nov. 27, 2020)
0.33 % 0.12 % N/A

Showing top 10 peers

Fund NAV 1 Yr Return(%) 3 Yr Return(%) 5 Yr Return(%) Expense Ratio(%) AUM(crores)
Invesco India Treasury Advantage Fund - Discretionary Dividend option 3,004.80 7.61 26.0 - 0.65 2,609.58
ICICI Prudential Savings Fund - Dividend Others 164.51 8.35 8.07 - 0.55 23,676.84
Reliance Low Duration Fund - Dividend Plan 1,584.19 7.46 7.2 - 1.04 6,949.09
Canara Robeco Savings Fund- Regular Plan - DIVIDEND 29.38 6.47 7.16 - 0.55 1,323.76
Tata Treasury Advantage Fund - Regular Plan - Periodic Dividend Option 1,931.59 7.53 5.69 - 0.54 855.69
SBI Magnum Low Duration Fund - Regular Plan - Monthly Dividend 1,195.95 5.37 3.56 - 1.10 12,452.08
Invesco India Treasury Advantage Fund - Weekly Dividend 1,095.73 3.24 2.34 - 0.65 2,609.58
LIC MF Savings Fund-Regular Plan-Weekly Dividend 10.82 4.69 2.24 - 0.83 946.82
Mahindra Low Duration Bachat Yojana - Regular Plan - Monthly Dividend Option 1,113.11 -0.02 1.97 - 1.16 558.49
LIC MF Savings Fund-Regular Plan-Monthly Dividend 10.72 4.08 1.77 - 0.83 946.82