NAV (direct) :
()NAV (regular) :
()Axis Treasury Advantage Fund✝ net asset value or NAV jumped from to since last working day
Axis Treasury Advantage Fund✝ direct last 1 year returns is %
Axis Treasury Advantage Fund✝ direct last 3 year returns is %
Axis Treasury Advantage Fund✝ direct last 5 year returns is %
Axis Treasury Advantage Fund✝ direct returns since launch is %
Axis Treasury Advantage Fund✝ asset under management or AUM is 5.62 crores
Axis Treasury Advantage Fund✝ one year annualised return is compared to benchmark NIFTY Low Duration Debt Index A-I one year annualised return of 7.67