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Axis Gilt Fund

NAV (direct) : 20.5234

(20.5353)

NAV (regular) : 19.6884

(19.7001)
Debt - Gilt
Last Updated on 26-Feb-2021

Axis Gilt Fund net asset value or NAV dropped from 20.5353 to 20.5234 since last working day

Axis Gilt Fund last 1 year returns is 9.60%

Axis Gilt Fund last 3 year returns is 10.80%

Axis Gilt Fund last 5 year returns is 9.53%

Axis Gilt Fund returns since launch is 8.33%

Axis Gilt Fund asset under management or AUM is 182.39 crores

Axis Gilt Fund one year annualised return is 9.60 compared to benchmark NIFTY All Duration G-Sec Total Return Index one year annualised return of 6.95

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