NAV (direct) : 2,479.8638
(2,479.4115)NAV (regular) : 2,398.4471
(2,398.0307)Axis Treasury Advantage Fund net asset value or NAV jumped from 2,479.4115 to 2,479.8638 since last working day
Axis Treasury Advantage Fund direct last 1 year returns is 8.43%
Axis Treasury Advantage Fund direct last 3 year returns is 7.86%
Axis Treasury Advantage Fund direct last 5 year returns is 7.85%
Axis Treasury Advantage Fund direct returns since launch is 8.38%
Axis Treasury Advantage Fund asset under management or AUM is 8,327.88 crores
Axis Treasury Advantage Fund one year annualised return is 8.43 compared to benchmark NIFTY Low Duration Debt Total Return Index one year annualised return of 7.18