-->

Axis Children's Gift Fund

NAV (direct) : 18.3718

(18.3318)

NAV (regular) : 17.0031

(16.9666)
Solution Oriented - Children's
Last Updated on 24-Feb-2021

Axis Children's Gift Fund net asset value or NAV jumped from 18.3318 to 18.3718 since last working day

Axis Children's Gift Fund last 1 year returns is 16.47%

Axis Children's Gift Fund last 3 year returns is 12.39%

Axis Children's Gift Fund last 5 year returns is 13.84%

Axis Children's Gift Fund returns since launch is 12.37%

Axis Children's Gift Fund asset under management or AUM is 570.16 crores

Axis Children's Gift Fund one year annualised return is 16.47 compared to benchmark NIFTY 50 Hybrid Composite Debt 65:35 Index one year annualised return of 19.77

Recommended

Hindustan Unilever Limited

₹ 2099

OPEN: ₹2120 , DAY HIGH: ₹2127.55 , DAY LOW: ₹2090

Sun Pharmaceutical Industries Limited

₹ 523.85

OPEN: ₹517.45 , DAY HIGH: ₹535 , DAY LOW: ₹515

Tech Mahindra Limited

₹ 807.9

OPEN: ₹793 , DAY HIGH: ₹808.8 , DAY LOW: ₹788

Dr. Reddy's Laboratories Limited

₹ 5306

OPEN: ₹5000 , DAY HIGH: ₹5496.95 , DAY LOW: ₹4950.25

Nestle India Limited

₹ 16160

OPEN: ₹16250 , DAY HIGH: ₹16250 , DAY LOW: ₹15925

Downloads