AXIS Hybrid Fund - Series 6 (G)

Launch Date: 25 Jul 13
14 Aug 2014
12.4918
0.0652 (0.52%)
YTD Return
N.A.%
Turnover Ratio
N.A.
Asset Size (Rs. cr)
297.49 (31 Jul 14)
Expense Ratio
N.A.%
Volatility (Std div)
N.A.%
Benchmark
N.A.
52Wk High - Low Range
9.9898
12.5397
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Trailing Returns

No Record Found.

Scheme Portfolio

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Asset Type(%)
Others3.74
Debt69.13
Derivatives27.13
TOP HOLDINGSValue
(Rs. Cr)
Hold
%
H D F C30.2310.16
Power Fin.Corpn.19.776.65
LIC Housing Fin.15.105.08
Rural Elec.Corp.15.025.05
Power Fin.Corpn.10.083.39
Rural Elec.Corp.10.073.38
LIC Housing Fin.10.033.37

What's in & Out

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No Record Found.

AUM Movements

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Dividend History

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Investment information

Fund TypeClosed - Ended
Min. Investment5,000.00
Exit Load0.00%
Comments
Exit Load: NIL

Plans

See NAV History
OptionsNAV (Rs.)
Growth (Regular)12.6091 (14/08/2014)
Dividend (Regular)12.6053 (14/08/2014)
Dividend (Regular)12.4918 (14/08/2014)

AMC Details

AMC Name
AXIS Asset Management Co. LTd
Devang Shah
Fund Manager
Regd. Office,
Axis House, 1st Floor, Bombay Dyeing
Mill Compound, Pandurang
Budhkar Marg, Worli, Mumbai - 400025.
Tel No:022-24255100
Fax No:022-43255199
Email:customerserivce:axismf.com
Website:www.axismf.com


 
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