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Search Scheme 
Fund : Axis Mutual Fund
Category : Debt - Floaters
Type : Open Ended
NAV(31/10/2025) 1323.5831
Percentage Returns :
1 Month Ago : 0.82%
3 Months Ago : 1.03%
1 Year Ago : 7.77%
Choose Option :  
2025
Open :   1238.73
Close :   1323.58
Return(%) :   6.84
Month NAV Return
Open (Rs.) Close (Rs.) Percentage
January1238.73471248.24110.76
February1248.66981247.1727-0.11
March1247.06741276.92492.39
April1285.30391302.32221.32
May1303.01881310.20820.55
June1310.82741304.3406-0.49
July1306.18011310.12840.30
August1310.75081298.9667-0.89
September1298.71911312.77661.08
October1316.59981323.58310.53
January1238.73471248.24110.76
February1248.66981247.1727-0.11
March1247.06741276.92492.39
April1285.30391302.32221.32
May1303.01881310.20820.55
June1310.82741304.3406-0.49
July1306.18011310.12840.30
August1310.75081298.9667-0.89
September1298.71911312.77661.08
October1316.59981323.58310.53
January1238.73471248.24110.76
February1248.66981247.1727-0.11
March1247.06741276.92492.39
April1285.30391302.32221.32
May1303.01881310.20820.55
June1310.82741304.3406-0.49
July1306.18011310.12840.30
August1310.75081298.9667-0.89
September1298.71911312.77661.08
October1316.59981323.58310.53
January1238.73471248.24110.76
February1248.66981247.1727-0.11
March1247.06741276.92492.39
April1285.30391302.32221.32
May1303.01881310.20820.55
June1310.82741304.3406-0.49
July1306.18011310.12840.30
August1310.75081298.9667-0.89
September1298.71911312.77661.08
October1316.59981323.58310.53
January1238.73471248.24110.76
February1248.66981247.1727-0.11
March1247.06741276.92492.39
April1285.30391302.32221.32
May1303.01881310.20820.55
June1310.82741304.3406-0.49
July1306.18011310.12840.30
August1310.75081298.9667-0.89
September1298.71911312.77661.08
October1316.59981323.58310.53