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Axis Treasury Advantage

NAV (direct) : 2,445.4644

(2,444.7598)

NAV (regular) : 2,367.9958

(2,367.3738)
Debt - Low Duration
Last Updated on 10-Nov-2020

Axis Treasury Advantage net asset value or NAV jumped from 2,444.7598 to 2,445.4644 since last working day

Axis Treasury Advantage last 1 year returns is 7.89%

Axis Treasury Advantage last 3 year returns is 8.25%

Axis Treasury Advantage last 5 year returns is 8.16%

Axis Treasury Advantage returns since launch is 8.61%

Axis Treasury Advantage asset under management or AUM is 8,833.45 crores

Axis Treasury Advantage one year annualised return is 7.89 compared to benchmark NIFTY Low Duration Debt Total Return Index one year annualised return of 6.87

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