Axis Dynamic Bond Dir Qt IDCW-P Fund
debt
RETURNS (5 YEARS)
6.67%
RETURNS (5 YEARS)
6.67%
NAV
₹11.36
Sub-Type
dynamic
Rating
- Overview
- Holdings
- Manager
Returns
Timeframe
Fund(%)
1M
0.86%
3M
1.03%
6M
2.88%
1Y
7.48%
3Y
7.83%
5Y
6.67%
Fund Essentials
-
01 Jan 2013
Fund Started
-
₹1142.83 Cr
AUM Fund Size
-
0.32%
Expense Ratio
-
₹1000.0
Min SIP Amount
-
Low
Fund Risk
-
0% if redeemed after 0 years
Exit Load
Top 10 Holdings
- 8.18%
- 6.01%
- 5.29%
- 4.39%
- 4.34%
- 4.11%
- 4.1%
- 4.1%
- 3.87%
- 3.51%
-
Devang Shah
Manager
-
Hardik Shah
Manager