Newsletter
Signup
Login
Welcome Guest
Enter Company

Axis Treasury Advantage Fund - Retail Plan - Monthly IDCW
  PLAN: Retail      OPTION: Monthly IDCW     
CATEGORY: Money Market Fund)      FUND HOUSE:Axis MF
NAV : 1011.79     1.53 (0.15%)  52Wk High/Low: 1013.877 / 1009.452   Expense Ratio: NA
  Updated As On: 14-Feb-2022
WEEK
MONTH
3 MONTH
6 MONTH
1 YEAR
3 YEAR
5 YEAR