Axis US Specific Treasury Dynamic Debt Passive FOF

Axis Mutual Fund

Fund of Funds › Overseas FoF Direct plan Growth SEBI riskometer: Very High
₹11.8781
0.0127 (+0.11%)
NAV on 1 Oct 2026
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NAV history

Returns as of 1 Oct 2026

Up to one year: absolute. Longer: annualised. Category = median of Overseas FoF direct-plan Growth funds.

PeriodThis fundCategory medianRank in category
1 month -1.89% -0.61% —
3 months -2.97% +0.97% —
6 months -3.07% +14.54% —
1 year +4.14% +21.87% #45 of 48 Top 94%
3 years — +25.01% —
5 years — +13.01% —
10 years — +12.43% —
Since launch of NAV data+6.32%——

NAV high and low

WindowHighLow
1 month12.107111.8654
3 months12.425511.8654
6 months12.425511.8654
1 year12.425511.4009

A period is a dash when the fund has not existed that long or its NAV history has a hole at the start date — never a partial figure.

Calendar-year returns

202020212022202320242025YTD
This fund————+3.19%+13.75%+1.31%
Category median+21.71%+17.07%-14.37%+21.11%+14.25%+25.84%+17.53%

Tradinity fund score

Twenty checks of five points each: performance, portfolio, operations, and risk against reward. Only checks we have data for are counted.

Not enough data to score (5 of 20 checks assessable).
Performance0/5
  • ✗ Ranks in the top quarter of its category over 1 year
  • – Ranks in the top quarter of its category over 3 years
  • – Ranks in the top quarter of its category over 5 years
  • – Loses less than its reference index on the index's down days
  • – Keeps pace with its reference index on the index's up days
Portfolio—
  • – Largest holding is 10% of the fund or less
  • – Top ten holdings are 50% of the fund or less
  • – Holds at least 20 stocks
  • – No single sector is more than 35% of the fund (diversified equity categories)
  • – Portfolio P/E is at or below the category median
Operations5/20
  • ✗ Has a track record of at least 5 years (2.8 years of NAV history)
  • ✗ Has a track record of at least 10 years
  • ✓ Expense ratio is at or below the category median (expense ratio 0.09%)
  • ✗ Fund size is above the category median (AUM Rs 24 crore)
  • – Lead manager has run the fund for 3 years or more (manager start date not on record)
Risk and reward—
  • – Sharpe ratio is at or above the category median
  • – Sortino ratio is at or above the category median
  • – Volatility is at or below the category median
  • – Worst 3-year fall is no deeper than the category median
  • – Jensen's alpha is positive

Risk and return ratios 3-year window

Risk-free rate 6.06% (3-year annualised return of the NSE 1-day (overnight) rate index). This category has no reference index in our data, so benchmark-relative ratios are not shown.

RatioThis fundCategory medianAgainst category
Sharpe ratio — 1.03 —
Sortino ratio — 1.49 —
Standard deviation — 18.63% —
Maximum drawdown — -20.81% —
Beta — — —
R-squared — — —
Jensen's alpha — — —
Treynor ratio — — —
Information ratio — — —
Upside capture — — —
Downside capture — — —

SIP returns (monthly instalments, XIRR)

1 year
-1.81%
3 years
—
5 years
—

What if you had invested?

Computed from this fund's actual NAVs. A SIP buys at the first NAV of each month and is valued at the latest NAV. Past returns do not guarantee future ones.

Fund details

Fund houseAxis Mutual Fund
AMFI scheme code152240
CategoryFund of Funds › Overseas FoF
AMFI categoryOpen Ended Schemes(Overseas Fund of Funds - Fund of Funds investing overseas)
Plan / optionDirect / Growth
ISININF846K017T9
NAV history from27 Dec 2023
NAV points on record668

Cost and size

Expense ratio (direct, Sep 2026)
0.09%
category median 0.57%
Assets under management
₹24 crore
average, June-2026
Regular plan expense ratio
0.15%

Expense ratio by month: Oct 25 0.09% · Nov 25 0.09% · Dec 25 0.09% · Jan 26 0.09% · Feb 26 0.09% · Mar 26 0.09% · Apr 26 0.09% · May 26 0.09% · Jun 26 0.09% · Jul 26 0.09% · Aug 26 0.09% · Sep 26 0.09%

From the scheme information document

Benchmark
Bloomberg US Intermediate Treasury TRI
SEBI riskometer
Very High
Launch (allotment) date
22 Dec 2023
Registrar
Kfintech Ltd
Minimum investment
500
Minimum additional
100
SIP
SIP - Daily/Weekly/Monthly - 100 and Yearly 12,000. SWP - Weekly - 1000, Monthly/Quarterly/Halfyearly/Yearly - 500. STP - Daily, Weekly, Fortnightly, Monthly -…
Fund manager(s)
Ms. Krishnaa N

Exit load

If redeemed / switched-out within 1 month from the date of allotment:0.25%; If redeemed/switched-out after 1 month from the date of allotment: Nil

Objective

The primary investment objective of the Scheme is to provide regular income by investing in units of overseas Index Funds and /or ETFs where the investment mandate is to invest in US treasury securities across duration. There is no assurance that the investment objective of the Scheme will be achieved.

Scheme information document

Fund house: website · factsheets · monthly portfolio · annual report

Not available: Morningstar rating (proprietary). "NAV history from" is the first NAV we hold.

Other plans of this fund

Returns are computed by Tradinity from each scheme's own published NAV, so they are net of the fund's expenses. Periods over one year are annualised (CAGR). Past performance does not indicate future returns. Only Growth-option schemes are ranked: an IDCW scheme pays cash out of its NAV, so its NAV understates what an investor earned.