AXIS Treasury Advantage Fund (G) Mutual fund
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AXIS Treasury Advantage Fund (G)

Debt

Low Duration

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Fund Details

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Current NAV

3011.47

Expense Ratio

0.66%

Min SIP

100

Fund Size

5933Cr

Min Investment

5.00K

Lock In

NA

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Exit load: Nil

Fund Performance

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Alpha

-0.09%

Beta

0.01

Sharpe Ratio

-0.0865

Risk

0.55%

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Above numbers are based upon past 3 years

AXIS Treasury Advantage Fund (G) FAQs

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