Mutual fund screener

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14 funds, page 1 of 1. Growth option only.

FundCategoryNAV3M6M1Y3Y CAGR5Y CAGRSharpeVol 1YExp. ratioAUM (Cr)Rank 1Y
Axis Credit Risk Fund
Axis Mutual Fund
Credit Risk 26.43 1.35% 4.51% 7.85% 8.71% 7.62% 2.98 1.1% 0.82% 50 3/12
Axis Ultra Short Term Fund
Axis Mutual Fund
Ultra Short Duration 16.97 1.65% 3.68% 6.76% 7.44% 6.80% 3.62 0.4% 0.36% 3,147 3/50
Axis Money Market Fund
Axis Mutual Fund
Money Market 1567.75 1.61% 3.67% 6.60% 7.45% 6.79% 3.29 0.5% 0.18% 17,737 6/24
Axis Liquid Fund
Axis Mutual Fund
Liquid 3172.93 1.55% 3.32% 6.57% 6.99% 6.43% 7.70 0.2% 0.13% 45,697 1/40
Axis Floating Interest Rates Fund
Axis Mutual Fund
Floater 1424.80 0.67% 4.76% 6.56% 8.23% 7.14% 1.03 2.0% 0.22% 108 1/12
Axis Ultra Short to Short Term Fund
Axis Mutual Fund
Ultra Short Duration 3511.21 1.34% 3.43% 6.30% 7.42% 6.70% 2.75 0.6% 0.37% 4,247 30/50
Axis Medium Term Fund
Axis Mutual Fund
Medium Duration 33.33 0.69% 3.75% 6.25% 8.28% 7.27% 1.85 1.4% 0.71% 1,131 4/13
Axis Dynamic Term Fund
Axis Mutual Fund
Dynamic Bond 34.74 0.21% 4.11% 5.79% 7.34% 6.15% 0.67 1.9% 0.34% 678 2/22
Axis Short Term Fund
Axis Mutual Fund
Short Duration 36.30 0.70% 3.39% 5.61% 7.70% 6.76% 1.69 1.2% 0.40% 6,721 3/23
Axis Overnight Fund
Axis Mutual Fund
Overnight 1463.31 1.28% 2.57% 5.28% 6.08% 5.77% 0.54 0.0% 0.09% 9,879 6/37
AXIS Corporate Bond Fund
Axis Mutual Fund
Corporate Bond 19.37 0.43% 3.24% 5.21% 7.58% 6.73% 1.37 1.3% 0.36% 7,851 6/20
Axis Banking and PSU Debt Fund
Axis Mutual Fund
Banking & PSU 2894.17 0.37% 2.89% 4.81% 6.90% 6.14% 0.89 1.2% 0.36% 9,028 8/20
Axis Gilt Fund
Axis Mutual Fund
Gilt 28.34 -1.10% 3.72% 3.47% 7.00% 5.88% 0.32 3.2% 0.46% 309 5/23
Axis Long Term Fund
Axis Mutual Fund
Long Duration 1253.67 -2.29% 3.83% 1.12% 5.73% — -0.08 4.9% 0.33% 160 7/11

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.