Axis Treasury Advantage Fund Overview | ||||||
---|---|---|---|---|---|---|
Category | Low Duration Fund | |||||
BMSMONEY | Rank | 3 | ||||
Rating | ||||||
Growth Option 11-04-2025 | ||||||
NAV | ₹3046.27(R) | +0.07% | ₹3191.22(D) | +0.07% | ||
Returns | 1Y | 3Y | 5Y | 7Y | 10Y | |
Lumpsum | Regular | -% | 6.86% | 6.22% | 6.64% | 6.95% |
Direct | -% | 7.21% | 6.57% | 7.0% | 7.34% | |
Benchmark | ||||||
SIP (XIRR) | Regular | -8.28% | 5.77% | 6.01% | 6.26% | 6.13% |
Direct | -8.0% | 6.11% | 6.36% | 6.61% | 6.5% | |
Ratio | Sharpe Ratio | Sortino Ratio | Sterling Ratio | Jensen's Alpha | Treynor Ratio | |
-0.04 | -0.01 | 0.66 | 3.54% | 0.0 | ||
Risk | STD. Dev | VaR 1Y95% | Max DD | Beta | Semi Devi. | |
0.57% | 0.0% | -0.11% | 0.37 | 0.48% |
Top Low Duration Fund | |||||
---|---|---|---|---|---|
Fund Name | Rank | Rating | |||
Icici Prudential Savings Fund | 1 | ||||
UTI Low Duration Fund | 2 | ||||
Axis Treasury Advantage Fund | 3 | ||||
Hdfc Low Duration Fund | 4 |
NAV Date: 11-04-2025
Scheme Name | NAV | Rupee Change | Percent Change |
---|---|---|---|
Axis Treasury Advantage Fund - Direct Plan - Daily IDCW | 1012.47 |
0.0000
|
0.0000%
|
Axis Treasury Advantage Fund - Retail Plan - Daily IDCW | 1012.47 |
0.0000
|
0.0000%
|
Axis Treasury Advantage Fund - Regular Plan - Weekly IDCW | 1013.06 |
0.6900
|
0.0700%
|
Axis Treasury Advantage Fund - Retail Plan - Weekly IDCW | 1013.06 |
0.6900
|
0.0700%
|
Axis Treasury Advantage Fund - Direct Plan - Weekly IDCW | 1013.09 |
0.7100
|
0.0700%
|
Axis Treasury Advantage Fund - Regular Plan - Daily IDCW | 1013.25 |
0.0000
|
0.0000%
|
Axis Treasury Advantage Fund - Regular Plan - Monthly IDCW | 1017.68 |
0.7000
|
0.0700%
|
Axis Treasury Advantage Fund - Retail Plan - Monthly IDCW | 1017.69 |
0.7000
|
0.0700%
|
Axis Treasury Advantage Fund - Direct Plan - Monthly IDCW | 1017.83 |
0.7100
|
0.0700%
|
Axis Treasury Advantage Fund - Retail Plan - Growth Option | 2856.03 |
1.9500
|
0.0700%
|
Axis Treasury Advantage Fund - Regular Plan - Growth Option | 3046.27 |
2.0800
|
0.0700%
|
Axis Treasury Advantage Fund - Direct Plan - Growth Option | 3191.22 |
2.2400
|
0.0700%
|
Review Date: 11-04-2025
Standard deviation measures the fund's return volatility and Semi deviation focuses on downside volatility. Value at Risk (VaR) is a measure of the risk of investments. Maximum Drawdown is the maximum loss from a peak to a trough of a portfolio. Beta measures the volatility of the fund compared to the benchmark. A beta of 1 indicates that the fund will move in line with the benchmark. A beta of more than 1 indicates that the fund will be more volatile than the benchmark and vice versa.
Disclaimer: Past performance may or may not be sustained in future and should not be used as a basis for comparison with other investments. Returns for periods above 1 year are annualised.
Date | Axis Treasury Advantage Fund NAV Regular Growth | Axis Treasury Advantage Fund NAV Direct Growth |
---|---|---|
11-04-2025 | 3046.2698 | 3191.2189 |
09-04-2025 | 3044.1876 | 3188.9808 |
08-04-2025 | 3042.0553 | 3186.7187 |
07-04-2025 | 3041.9905 | 3186.6216 |
04-04-2025 | 3040.1676 | 3184.6306 |
03-04-2025 | 3039.6114 | 3184.021 |
02-04-2025 | 3036.9763 | 3181.2337 |
28-03-2025 | 3029.6658 | 3173.4411 |
27-03-2025 | 3026.8344 | 3170.4484 |
26-03-2025 | 3024.0956 | 3167.5527 |
25-03-2025 | 3022.0948 | 3165.4301 |
24-03-2025 | 3021.5553 | 3164.8381 |
21-03-2025 | 3018.7534 | 3161.8228 |
20-03-2025 | 3017.1052 | 3160.0696 |
19-03-2025 | 3015.8179 | 3158.6945 |
18-03-2025 | 3014.3374 | 3157.1171 |
17-03-2025 | 3013.7314 | 3156.4556 |
13-03-2025 | 3011.4662 | 3153.976 |
12-03-2025 | 3010.8733 | 3153.3282 |
11-03-2025 | 3010.4964 | 3152.9067 |
Fund Launch Date: 08/Oct/2009 |
Fund Category: Low Duration Fund |
Investment Objective: To provide optimal returns and liquidity to the investors by investing primarily in a mix of money market and short term debt instruments which results in a portfolio having marginally higher maturity as compared to a liquid fund at the same time maintaining a balance between safety and liquidity. However, there can be no assurance that the investment objective of the Scheme will be achieved. |
Fund Description: An Open Ended Low Duration Debt Scheme Investing In Instruments Such That The Macaulay Duration Of The Portfolio Is Between 6 To 12 Months |
Fund Benchmark: NIFTY Low Duration Debt Index |
Disclaimer: NO INVESTMENT ADVICE. The Content is for informational purposes only.