

Axis Treasury Advantage Growth
Low To Moderate Risk
Debt
4 Star
NAV as of Jul 18, 2025
₹3112.81
0.03%1D Change
Returns since inception
7.46%p.a.
Low To Moderate Risk
Debt
4 Star
NAV as of Jul 18, 2025
₹3112.81
0.03%1D Change
Returns since inception
7.46%p.a.

Axis Treasury Advantage Growth
Low To Moderate Risk|Debt|4 Star
NAV as of Jul 18, 2025
₹3112.81
0.03%1D
Returns since inception
7.46%p.a.
Returns calculator
Investment Type
Monthly SIP
One-Time
₹
yrs
Total investment₹9.6 Lakhs
Returns₹0
Final Value₹0
Absolute ReturnNaN%
Fund overview
- Rating4 Star
- Expense ratio0.67%
- Exit Load0% within 0 days
- AUM (Fund size)₹5,444.28 Crore
- Lock-in periodNo Lock-in
- Age15 yrs since Oct 09, 2009
- Min. investmentSIP ₹1000 & Lump. ₹5000
- RiskLow to Moderate
- Tax implicationsShort-term capital gains (STCG) are taxed at applicable slab rates
Fund Distribution
Equity
0%
Debt
59.6%
Others
40.4%
Top Holdings
Top Sectors
Holding Name | Assets (%) |
---|---|
Punjab National Bank (18/03/2026) | 6.6% |
Export Import Bank Of India (20/03/2026) | 3.96% |
Clearing Corporation Of India Ltd | 3.94% |
LIC Housing Finance Ltd | 3.73% |
Small Industries Development Bank Of India | 3.52% |
Peer Comparison
Overview
Returns
Risk Ratios
Fund Name | AUM (In Crs.) | NAV | Risk |
---|---|---|---|
HSBC Low Duration Fund Di... | ₹ 580 Cr | ₹30.45 | 0.03% | Low to Moderate |
Kotak Low Duration Fund- ... | ₹ 12,944 Cr | ₹3668.95 | 0.02% | Low to Moderate |
Nippon India Low Duration... | ₹ 7,994 Cr | ₹3993.85 | 0.01% | Low to Moderate |
Axis Treasury Advantage F... | ₹ 5,444 Cr | ₹3263.71 | 0.03% | Low to Moderate |
NAV History - Axis Treasury Advantage Fund
FUND | Axis Treasury Advantage Fund |
---|---|
NAV (Jul 18, 2025) | ₹3112.81 |
Class | Debt | Ultra Short Duration |
Inception Date | Oct 09, 2009 |
Fund Manager | Devang Shah, Aditya Pagaria |
FUND | Axis Treasury Advantage Fund |
---|---|
Initial Price | ₹10 |
Min. Investment Amount | SIP ₹1000 and Lump. ₹5000 |
Exit Load | 0% within 0 days |
Returns | 1W | 1M | 3M | 6M | 1Y | 3Y |
---|---|---|---|---|---|---|
Axis Treasury Advant... | 0.12% | 0.6% | 2% | 4.38% | 8.24% | 7.34% |
About Axis Asset Management Company Limited
Axis Mutual Fund was established in October 2009 after registering with SEBI or the Securities and Exchange Board of India. Axis Bank holds 75% of the share in the asset management company while Schroder Singapore holds the remaining 25%. Axis Mutual Fund has Axis Bank Limited as the sponsor and Axis Mutual Fund Trustee Limited as the trustee.
Axis Asset Management Company Limited Details
- No. of schemes157
- Total AUM₹196,548.66 Crore
- AddressAxis Asset Management Company Ltd., Axis House, 1st Floor, C-2, Wadia International Centre, Mumbai, Maharashtra, 400 025
- Phone+91 22 43255161
Start your investment
Lumpsum
SIP
Amount
₹
Estimated value after 3 years
(as per historical returns)
6,183 ₹
Investment in Regular Funds are no longer available. Switch to Direct Plan of the same fund for higher returns.