Axis Treasury Advantage Fund Overview | ||||||
---|---|---|---|---|---|---|
Category | Low Duration Fund | |||||
BMSMONEY Rank | 3 | |||||
BMSMONEY Rating | ||||||
Gro. Opt. | As On: | 26-07-2024 | ||||
NAV | ₹2881.59(R) | +0.04% | ₹3012.06(D) | +0.04% | ||
Returns | 1Y | 3Y | 5Y | 7Y | 10Y | |
LumpSum (R) | 7.22% | 5.77% | 6.06% | 6.49% | 6.98% | |
LumpSum (D) | 7.57% | 6.12% | 6.4% | 6.88% | 7.39% | |
SIP (R) | 7.58% | 6.67% | 4.61% | 5.59% | 6.25% | |
SIP (D) | 7.94% | 7.03% | 4.94% | 5.94% | 6.64% | |
Ratio | Sharpe Ratio | Sortino Ratio | Sterling Ratio | Jensen's Alpha | Treynor Ratio | |
- | - | - | -% | - | ||
Risk | STD. Dev | VaR 1Y95% | Max DD | Beta | Semi Devi. | |
-% | -% | -% | - | -% |
Top Low Duration Fund | |||||
---|---|---|---|---|---|
Fund Name | Rank | Rating | |||
ICICI Prudential Savings Fund | 1 | ||||
UTI Treasury Advantage Fund | 2 | ||||
Axis Treasury Advantage Fund | 3 | ||||
HDFC Low Duration Fund | 4 |
NAV Date: 26-07-2024
Scheme Name | NAV | Rupee Change | Percent Change |
---|---|---|---|
Axis Treasury Advantage Fund - Regular Plan - Monthly IDCW | 1010.01 |
0.4000
|
0.0400%
|
Axis Treasury Advantage Fund - Retail Plan - Monthly IDCW | 1010.01 |
0.4000
|
0.0400%
|
Axis Treasury Advantage Fund - Direct Plan - Monthly IDCW | 1010.02 |
0.4100
|
0.0400%
|
Axis Treasury Advantage Fund - Direct Plan - Daily IDCW | 1012.47 |
0.0000
|
0.0000%
|
Axis Treasury Advantage Fund - Retail Plan - Daily IDCW | 1012.47 |
0.0000
|
0.0000%
|
Axis Treasury Advantage Fund - Regular Plan - Weekly IDCW | 1012.7 |
0.4000
|
0.0400%
|
Axis Treasury Advantage Fund - Retail Plan - Weekly IDCW | 1012.7 |
0.4000
|
0.0400%
|
Axis Treasury Advantage Fund - Direct Plan - Weekly IDCW | 1012.73 |
0.4100
|
0.0400%
|
Axis Treasury Advantage Fund - Regular Plan - Daily IDCW | 1013.25 |
0.0000
|
0.0000%
|
Axis Treasury Advantage Fund - Retail Plan - Growth Option | 2701.62 |
1.0700
|
0.0400%
|
Axis Treasury Advantage Fund - Regular Plan - Growth Option | 2881.59 |
1.1500
|
0.0400%
|
Axis Treasury Advantage Fund - Direct Plan - Growth Option | 3012.06 |
1.2200
|
0.0400%
|
Review Date: 26-07-2024
Axis Treasury Advantage Fund has shown very good performance in the Low Duration Fund category. The fund has rank of 3 out of 19 funds in the category. The fund has delivered return of 7.22% in 1 year, 5.77% in 3 years, 6.06% in 5 years and 6.98% in 10 years. The category average for the same periods is 6.97%, 5.6%, 5.98% and 6.65% respectively, which shows very good return performance of fund in the category. The fund has high risk in the category.Key Points:
KPIs* | Fund | Benchmark | Cat. Avg | Min | Max | Rank (In Cat.) | Performance |
---|---|---|---|---|---|---|
1M Return % | 0.67 |
0.66
|
0.60 | 0.71 | 5 | 19 | Very Good | |
3M Return % | 1.82 |
1.75
|
1.64 | 1.85 | 2 | 19 | Very Good | |
6M Return % | 3.80 |
3.65
|
3.47 | 4.04 | 2 | 19 | Very Good | |
1Y Return % | 7.22 |
6.97
|
6.52 | 7.67 | 2 | 19 | Very Good | |
3Y Return % | 5.77 |
5.60
|
4.88 | 7.54 | 3 | 17 | Very Good | |
5Y Return % | 6.06 |
5.98
|
5.23 | 7.46 | 5 | 17 | Very Good | |
7Y Return % | 6.49 |
6.02
|
5.33 | 6.79 | 2 | 16 | Very Good | |
10Y Return % | 6.98 |
6.65
|
5.98 | 7.40 | 2 | 13 | Very Good | |
1Y SIP Return % | 7.58 |
7.29
|
6.82 | 7.97 | 2 | 19 | Very Good | |
3Y SIP Return % | 6.67 |
6.44
|
5.85 | 7.14 | 3 | 17 | Very Good | |
5Y SIP Return % | 4.61 |
4.49
|
3.77 | 5.52 | 4 | 17 | Very Good | |
7Y SIP Return % | 5.59 |
5.24
|
4.75 | 6.00 | 2 | 16 | Very Good | |
10Y SIP Return % | 6.25 |
5.88
|
5.40 | 6.66 | 2 | 13 | Very Good |
KPIs* | Fund | Benchmark | Cat. Avg | Min | Max | Rank (In Cat.) | Performance |
---|---|---|---|---|---|---|
1M Return % | 0.70 | 0.70 | 0.66 | 0.74 | 9 | 19 | ||
3M Return % | 1.90 | 1.88 | 1.82 | 1.98 | 7 | 19 | ||
6M Return % | 3.97 | 3.91 | 3.76 | 4.10 | 7 | 19 | ||
1Y Return % | 7.57 | 7.52 | 7.29 | 7.79 | 9 | 19 | ||
3Y Return % | 6.12 | 6.13 | 5.79 | 7.66 | 7 | 17 | ||
5Y Return % | 6.40 | 6.49 | 5.84 | 7.80 | 8 | 17 | ||
7Y Return % | 6.88 | 6.53 | 5.45 | 7.14 | 5 | 16 | ||
10Y Return % | 7.39 | 7.12 | 6.46 | 7.72 | 4 | 13 | ||
1Y SIP Return % | 7.94 | 7.85 | 7.59 | 8.10 | 8 | 19 | ||
3Y SIP Return % | 7.03 | 6.97 | 6.73 | 7.26 | 7 | 17 | ||
5Y SIP Return % | 4.94 | 5.00 | 4.56 | 5.94 | 8 | 17 | ||
7Y SIP Return % | 5.94 | 5.76 | 5.20 | 6.24 | 6 | 16 | ||
10Y SIP Return % | 6.64 | 6.37 | 5.79 | 6.95 | 4 | 13 |
Investment Period | Regular | Direct | ||
---|---|---|---|---|
Return % | Current Value of ₹ 10000 | Return % | Current Value of ₹ 10000 | |
1D | 0.04 | ₹ 10,004.00 | 0.04 | ₹ 10,004.00 |
1W | 0.11 | ₹ 10,011.00 | 0.11 | ₹ 10,011.00 |
1M | 0.67 | ₹ 10,067.00 | 0.70 | ₹ 10,070.00 |
3M | 1.82 | ₹ 10,182.00 | 1.90 | ₹ 10,190.00 |
6M | 3.80 | ₹ 10,380.00 | 3.97 | ₹ 10,397.00 |
1Y | 7.22 | ₹ 10,722.00 | 7.57 | ₹ 10,757.00 |
3Y | 5.77 | ₹ 11,832.00 | 6.12 | ₹ 11,949.00 |
5Y | 6.06 | ₹ 13,418.00 | 6.40 | ₹ 13,635.00 |
7Y | 6.49 | ₹ 15,530.00 | 6.88 | ₹ 15,930.00 |
10Y | 6.98 | ₹ 19,626.00 | 7.39 | ₹ 20,404.00 |
15Y | ₹ | ₹ |
Disclaimer: Past performance may or may not be sustained in future and should not be used as a basis for comparison with other investments. Returns for periods above 1 year are annualised.
Investment Period | Invested Amount | Regular | Direct | ||
---|---|---|---|---|---|
XIRR % | Current Value of Invested Amount | XIRR % | Current Value of Invested Amount | ||
1Y | ₹ 12000 | 7.58 | ₹ 12,485.34 | 7.94 | ₹ 12,508.19 |
3Y | ₹ 36000 | 6.67 | ₹ 39,829.00 | 7.03 | ₹ 40,038.41 |
5Y | ₹ 60000 | 4.61 | ₹ 67,415.28 | 4.94 | ₹ 67,990.92 |
7Y | ₹ 84000 | 5.59 | ₹ 102,460.26 | 5.94 | ₹ 103,760.41 |
10Y | ₹ 120000 | 6.25 | ₹ 165,424.44 | 6.64 | ₹ 168,818.76 |
15Y | ₹ 180000 | ₹ | ₹ |
Date | NAV Regular Growth | NAV Direct Growth |
---|---|---|
26-07-2024 | 2881.5868 | 3012.0609 |
25-07-2024 | 2880.4412 | 3010.8379 |
24-07-2024 | 2879.7615 | 3010.102 |
23-07-2024 | 2879.1036 | 3009.3887 |
22-07-2024 | 2878.5607 | 3008.7956 |
19-07-2024 | 2876.842 | 3006.9223 |
18-07-2024 | 2876.3226 | 3006.3537 |
16-07-2024 | 2875.1521 | 3005.079 |
15-07-2024 | 2874.4055 | 3004.273 |
12-07-2024 | 2872.7996 | 3002.5175 |
11-07-2024 | 2872.1308 | 3001.7929 |
10-07-2024 | 2871.2456 | 3000.842 |
09-07-2024 | 2870.7687 | 3000.3171 |
08-07-2024 | 2870.2798 | 2999.7795 |
05-07-2024 | 2868.5457 | 2997.8874 |
04-07-2024 | 2867.9768 | 2997.2663 |
03-07-2024 | 2867.1713 | 2996.3979 |
02-07-2024 | 2866.4159 | 2995.5819 |
01-07-2024 | 2865.4254 | 2994.5202 |
28-06-2024 | 2863.6037 | 2992.5368 |
27-06-2024 | 2862.7012 | 2991.5672 |
26-06-2024 | 2862.3348 | 2991.1578 |
Fund Launch Date: 08/Oct/2009 |
Fund Category: Low Duration Fund |
Investment Objective: To provide optimal returns and liquidity to the investors by investing primarily in a mix of money market and short term debt instruments which results in a portfolio having marginally higher maturity as compared to a liquid fund at the same time maintaining a balance between safety and liquidity. However, there can be no assurance that the investment objective of the Scheme will be achieved. |
Fund Description: An Open Ended Low Duration Debt Scheme Investing In Instruments Such That The Macaulay Duration Of The Portfolio Is Between 6 To 12 Months |
Fund Benchmark: NIFTY Low Duration Debt Index |
Disclaimer: NO INVESTMENT ADVICE. The Content is for informational purposes only.