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Fund Category Low Duration
3 Morning Star
5 Value Research
NAV( 9 May 2025)
Min SIP amount
Min Lumpsum
Lock In
Expense ratio
Exit load
Fund size
Plan
Launch date
Fund type
Fund benchmark
ISIN
Company | Allocation % |
---|---|
GOI Sec 6.79 07/10/2034 | 0.59% |
GOI Sec 04/10/2028 | 2.88% |
CDMDF Class A2 | 0.26% |
National Bank For Agriculture & Rural Development SR 25E Bonds 7.53 24/03/2028 | 1.66% |
National Bank For Agriculture & Rural Development SR 25G Bonds 7.48 15/09/2028 | 1.58% |
REC Ltd SR-147 Bonds 7.95 12/03/2027 | 0.42% |
LIC Housing Finance Ltd Bonds 7.56 14/06/2027 | 0.41% |
LIC Housing Finance Ltd Bonds 7.90 23/06/2027 | 0.41% |
Shriram Finance Ltd SR PPD XXIV TR Bonds 9.15 28/06/2029 | 0.75% |
Sundaram Finance Ltd SR Z1 Debenture 7.35 23/04/2027 | 0.49% |
Nexus Select Trust SR II TR B Debenture 7.7165 14/06/2028 | 0.82% |
Bharti Telecom Ltd SR XIX Debenture 8.65 05/11/2027 | 1.16% |
Reliance Life Sciences Pvt Ltd SR 3 Debenture 7.7954 05/11/2027 | 0.41% |
Reliance Life Sciences Pvt Ltd SR 2 Debenture 7.7954 08/05/2026 | 1.23% |
LIC Housing Finance Ltd Debenture 7.74 22/10/2027 | 2.07% |
Muthoot Finance Ltd Debenture 8.52 07/04/2028 | 0.82% |
Mankind Pharma Ltd SR 2 Debenture 7.99 16/10/2026 | 0.66% |
Aditya Birla Finance Ltd SR K3 RR Debenture 26/02/2027 | 0.82% |
Muthoot Finance Ltd Debenture 9.02 14/07/2027 | 0.41% |
Tata Realty and Infrastructure Ltd SR I RR Debenture 03/05/2026 | 0.25% |
REC Ltd SR 234-A Debenture 7.70 31/08/2026 | 1.65% |
Shriram Finance Ltd SR PPD XXI OP2 Debenture 9.20 22/05/2026 | 1.24% |
HDB Financial Services Ltd SR A 1 FX Debenture 7.65 10/09/2027 | 0.41% |
LIC Housing Finance Ltd Debenture 7.9265 14/07/2027 | 0.99% |
Godrej Finance Ltd SR A Debenture 8.75 18/01/2027 | 0.25% |
IndiGrid Infrastructure Trust SR X Debenture 7.88 30/04/2029 | 0.42% |
Aadhar Housing Finance Ltd Debenture 8.65 21/08/2027 | 0.5% |
LIC Housing Finance Ltd Debenture 7.835 11/05/2027 | 0.83% |
Muthoot Finance Ltd Debenture 8.90 17/06/2027 | 0.41% |
Bajaj Housing Finance Ltd Debenture 8.10 08/07/2027 | 0.42% |
National Bank For Agriculture & Rural Development SR 24B Debenture 7.49 15/10/2026 | 0.82% |
Nexus Select Trust SR I TR A Debenture 7.86 16/06/2026 | 2.46% |
HDB Financial Services Ltd SR A/1(FX)/169 OPT 3 Debenture 6.35 11/09/2026 | 0.08% |
Shriram Finance Ltd SR PPD XII OP Debenture 8.75 05/10/2026 | 1.16% |
REC Ltd SR 227-A Debenture 7.77 30/09/2026 | 0.41% |
Muthoot Finance Ltd Debenture 8.78 20/05/2027 | 0.66% |
Samvardhana Motherson International Ltd Debenture 8.15 23/01/2026 | 0.41% |
National Bank For Agriculture & Rural Development SR 23H Debenture 7.58 31/07/2026 | 0.41% |
Mahindra & Mahindra Financial Services Ltd SR AB Debenture 8.30 23/03/2026 | 0.41% |
Mahindra & Mahindra Financial Services Ltd SR AE2023 STRPP 1 Debenture 8.25 26/03/2026 | 0.99% |
Small Industries Devp. Bank of India Ltd SR I Debenture 7.43 | 2.3% |
Small Industries Devp. Bank of India Ltd SR II Debenture 7.44 04/09/2026 | 2.87% |
DME Development Ltd SR I STRRPS VII Debenture 16/03/2034 | 0.01% |
Small Industries Devp. Bank of India Ltd SR I Debenture 7.15 02/06/2025 | 0.41% |
LIC Housing Finance Ltd Debenture 7.61 30/07/2025 | 0.9% |
Small Industries Devp. Bank of India Ltd SR II Debenture 7.15 21/07/2025 | 0.08% |
LIC Housing Finance Ltd Debenture 7.38 18/08/2025 | 0.41% |
Tata Capital Housing Finance Ltd SR G OPT I Debenture 7.97 03/11/2025 | 0.41% |
DME Development Ltd SR I STRRPS II Debenture 16/03/2029 | 0.01% |
DME Development Ltd SR I STRRPS VI Debenture 16/03/2033 | 0.01% |
DME Development Ltd SR I STRRPS V Debenture 16/03/2032 | 0.01% |
DME Development Ltd SR I STRRPS IV Debenture 17/03/2031 | 0.01% |
DME Development Ltd SR I STRRPS III Debenture 18/03/2030 | 0.01% |
DME Development Ltd SR I STRRPS VIII Debenture 16/03/2035 | 0.01% |
DME Development Ltd SR I STRRPS X Debenture 16/03/2037 | 0.01% |
DME Development Ltd SR I STRRPS IX Debenture 17/03/2036 | 0.01% |
DME Development Ltd SR I STRRPS I Debenture 16/03/2028 | 0.01% |
ICICI Securities Primary Dealership Ltd IRS 26/04/2027 | 0.0% |
ICICI Bank Ltd IRS 05/04/2027 | 0.0% |
ICICI Bank Ltd IRS 07/03/2026 | 0.0% |
ICICI Securities Primary Dealership Ltd IRS 06/03/2026 | 0.0% |
ICICI Securities Primary Dealership Ltd IRS 19/03/2026 | 0.0% |
ICICI Bank Ltd IRS 20/03/2026 | -0.01% |
ICICI Bank Ltd IRS 30/04/2027 | 0.0% |
ICICI Securities Primary Dealership Ltd IRS 23/04/2027 | 0.0% |
ICICI Securities Primary Dealership Ltd IRS 26/06/2025 | 0.0% |
ICICI Securities Primary Dealership Ltd IRS 08/02/2027 | 0.0% |
ICICI Bank Ltd IRS 24/02/2027 | -0.01% |
ICICI Bank Ltd IRS 10/03/2027 | 0.0% |
Net Receivables | 0.99% |
Others CBLO | 3.68% |
Godrej Industries Ltd SR 1 NCD 8.10 22/05/2028 | 0.83% |
Muthoot Finance Ltd NCD 8.60 02/03/2028 | 0.82% |
DLF Cyber City Developers Ltd NCD 8.40 18/06/2027 | 0.86% |
Nomura Capital (India) Pvt Ltd NCD 8.55 30/04/2026 | 0.82% |
REC Ltd SR 231A NCD 7.64 30/04/2027 | 0.33% |
L&T Finance Ltd SR J NCD 8.24 16/06/2027 | 0.41% |
Small Industries Devp. Bank of India Ltd SR VI NCD 7.75 27/10/2025 | 0.9% |
HDB Financial Services Ltd SR A/1(FX)/186 OP 2 NCD 8.04 25/02/2026 | 0.66% |
LIC Housing Finance Ltd NCD 7.7201 12/02/2026 | 1.64% |
HDB Financial Services Ltd SR 190 NCD 8.0736 17/04/2026 | 0.49% |
Small Industries Devp. Bank of India Ltd SR III NCD 7.55 22/09/2026 | 1.64% |
Godrej Properties Ltd SR A NCD 8.15 03/07/2026 | 2.96% |
IndiGrid Infrastructure Trust NCD 7.25 27/06/2025 | 0.41% |
Embassy Office Parks REIT SR V TR B NCD 7.05 18/10/2026 | 0.33% |
National Bank For Agriculture & Rural Development SR 24C Bonds/NCD 7.83 30/12/2026 | 2.07% |
Aditya Birla Renewables Ltd Bonds/NCD 8.60 24/09/2027 | 0.41% |
Rajasthan State SDL 8.20 24/06/2025 | 0.65% |
Uttar Pradesh State SDL 8.53 10/02/2026 | 0.41% |
Uttar Pradesh State SDL 8.83 24/02/2026 | 0.33% |
Maharashtra State SDL 8.12 13/11/2025 | 0.66% |
Maharashtra State SDL 8.32 15/07/2025 | 0.01% |
West Bengal State SDL 8.21 24/06/2025 | 0.82% |
Haryana State SDL 8.18 15/06/2025 | 0.49% |
Haryana State SDL 8.18 15/06/2026 | 0.83% |
First Business Receivable Trust SERIES 22 PTC Securitised Debt 01/07/2025 | 0.82% |
Shriram Finance Ltd SERIES A1 PTC Securitised Debt | 0.41% |
Sansar Trust SERIES A1 PTC Sec. Debt 25/06/2030 | 1.24% |
HDFC Bank Ltd CD 25/07/2025 | 0.88% |
India Universal Trust AL1 SERIES A1 PTC Sec. Debt 20/09/2026 | 1.07% |
India Universal Trust AL1 SERIES A2 PTC Sec. Debt 20/07/2027 | 0.75% |
Bank Of Baroda CD 05/05/2025 | 0.81% |
Reserve Bank of India T-Bills 91-D 12/06/2025 | 3.24% |
Reserve Bank of India T-Bills 182-D 04/09/2025 | 1.6% |
Reserve Bank of India T-Bills 182-D 18/09/2025 | 0.4% |
Bank Of Baroda CD 15/05/2025 | 0.81% |
IDFC First Bank Ltd CD 18/11/2025 | 1.57% |
India Universal Trust AL1 SERIES A1 PTC Sec. Debt | 0.41% |
Punjab National Bank CD 05/12/2025 | 1.57% |
Punjab National Bank CD 11/12/2025 | 0.78% |
The Federal Bank Ltd CD 04/12/2025 | 2.35% |
Canara Bank CD 19/12/2025 | 1.56% |
India Universal Trust AL1 Sec. Debt 8.09 21/11/2027 | 0.55% |
HDFC Bank Ltd CD 06/02/2026 | 1.55% |
National Bank For Agriculture & Rural Development CD 10/03/2026 | 2.31% |
Indusind Bank Ltd CD 11/03/2026 | 1.54% |
Export-Import Bank Of India CD 04/03/2026 | 1.54% |
Punjab National Bank CD 18/03/2026 | 3.08% |
Export-Import Bank Of India CD 20/03/2026 | 3.47% |
Sansar Trust SERIES A1 PTC Sec. Debt 25/10/2028 | 0.82% |
Company | Allocation % |
---|---|
Others | 13.97% |
Construction | 7.78% |
Automobile | 0.41% |
Sovereign | 3.47% |
Consumer Staples | 0.83% |
Energy | 0.41% |
Financial | 68.91% |
Healthcare | 2.30% |
Capital Goods | 0.83% |
Communication | 1.16% |
Axis House,1st FLOOR,Bombay Dyeing Mill Compound Pandurang Budhkar Marg, Worli
Email:
Website
Phone:
2243255161
Funds Offered
AUM
Website
Axis Mutual Fund launched its first scheme in October 2009. Since then Axis Mutual fund has grown strongly. They attribute their success thus far to three founding principles - Long term wealth creation, Outside in (Customer) view and Long term relationship.
Funds Offered
AUM
Highest Return
Devang Shah Fund Manager - Role of a fund manager includes buying and selling of securities based on their research and analysis. Check out the mutual fund managers across all the categories for best guidance now
The current NAV of Axis Treasury Advantage Reg-IDCWW is ₹ 1011.1535
The expense ratio of Axis Treasury Advantage Reg-IDCWW is 0.65%
To redeem, follow the steps below:
1. Login to your Moneyfy Account by Tata Capital.
2. Click on the "Portfolio" button on the bottom left of the home screen.
3. Click "View Funds" on the My Portfolio page.
4. Click on the three dots (⋮) next to the fund you want to redeem.
5. Click "Redeem" from the list to complete the process.
To invest, follow the steps below:
1. Login to your Moneyfy Account by Tata Capital.
2. Click on the "Mutual Funds" button on the home screen.
3. Search for the fund name in the search bar at the top of the screen.
4. Click on the "Invest Now" button at the bottom.
5. Choose between SIP or Lumpsum option, enter the amount you wish to invest, and then click
on "Proceed to pay".
6. Complete the payment and OTP process to confirm your investments.
Secure your future with hassle-free investing on Moneyfy!
You can invest in Both SIP & Lumpsum in Axis Treasury Advantage Reg-IDCWW based on your investment objective and risk profile.
For Axis Treasury Advantage Reg-IDCWW, 3-year return is 7.07% per annum and 5-year return is 6.14% per annum. Check the return performance in detail on the page.
The lock-in-period of Axis Treasury Advantage Reg-IDCWW is 0 years.
At Tata Moneyfy, we follow 3 easy steps to make mutual fund investments simple, convenient, and quick:
Register your mobile number and email ID with Moneyfy
Set up your account and update your KYC details
Once we verify your KYC details, you’re ready to start investing!
3 Morning Star
3 Value Research
3 Morning Star
3 Value Research
NAV
1M Returns
1Y Returns
3Y Returns
Min. Investment
Fund Size
Fund Manager
NAV
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Fund Manager
4 Morning Star
4 Value Research
4 Morning Star
4 Value Research
NAV
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3Y Returns
Min. Investment
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NAV
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3 Morning Star
3 Value Research
3 Morning Star
3 Value Research
NAV
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3Y Returns
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NAV
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4 Morning Star
4 Value Research
4 Morning Star
4 Value Research
NAV
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3 Morning Star
0 Value Research
3 Morning Star
0 Value Research
NAV
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3Y Returns
Min. Investment
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NAV
Min Investment
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4 Morning Star
4 Value Research
4 Morning Star
4 Value Research
NAV
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NAV
Min Investment
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3 Morning Star
3 Value Research
3 Morning Star
3 Value Research
NAV
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NAV
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5 Morning Star
3 Value Research
5 Morning Star
3 Value Research
NAV
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4 Morning Star
5 Value Research
4 Morning Star
5 Value Research
NAV
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NAV
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4 Morning Star
0 Value Research
4 Morning Star
0 Value Research
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NAV
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4 Morning Star
0 Value Research
4 Morning Star
0 Value Research
NAV
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NAV
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2 Morning Star
4 Value Research
2 Morning Star
4 Value Research
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2 Morning Star
2 Value Research
2 Morning Star
2 Value Research
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2 Morning Star
0 Value Research
2 Morning Star
0 Value Research
NAV
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2 Morning Star
0 Value Research
2 Morning Star
0 Value Research
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4 Morning Star
0 Value Research
4 Morning Star
0 Value Research
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0 Morning Star
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0 Morning Star
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4 Morning Star
2 Value Research
4 Morning Star
2 Value Research
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4 Morning Star
3 Value Research
4 Morning Star
3 Value Research
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4 Morning Star
1 Value Research
4 Morning Star
1 Value Research
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3 Morning Star
0 Value Research
3 Morning Star
0 Value Research
NAV
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NAV
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3 Morning Star
2 Value Research
3 Morning Star
2 Value Research
NAV
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3 Morning Star
2 Value Research
3 Morning Star
2 Value Research
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4 Morning Star
5 Value Research
4 Morning Star
5 Value Research
NAV
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NAV
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3 Morning Star
0 Value Research
3 Morning Star
0 Value Research
NAV
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NAV
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4 Morning Star
0 Value Research
4 Morning Star
0 Value Research
NAV
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NAV
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4 Morning Star
2 Value Research
4 Morning Star
2 Value Research
NAV
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NAV
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3 Morning Star
4 Value Research
3 Morning Star
4 Value Research
NAV
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NAV
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3 Morning Star
0 Value Research
3 Morning Star
0 Value Research
NAV
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NAV
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0 Morning Star
0 Value Research
0 Morning Star
0 Value Research
NAV
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NAV
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4 Morning Star
0 Value Research
4 Morning Star
0 Value Research
NAV
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NAV
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4 Morning Star
3 Value Research
4 Morning Star
3 Value Research
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NAV
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