• BSE
  • NSE
Partner with US Open an Demat Account EIPO Portfolio Tracker Watsapp Play Store App Store

Mutual Fund

Market Nav

NAV HISTORY

GO

Axis Banking & PSU Debt Fund


Fund : Axis Mutual Fund
Category : Debt - Income
Type : Open Ended
NAV(30/07/2025) 2658.5592
Percentage Returns :
1 Month Ago : 0.58%
3 Months Ago : 1.73%
1 Year Ago : 8.67%
GO

NAV DateRepurcahse ()Sale ()Amount ()
30/07/20252,658.562,658.562,658.56
29/07/20252,658.332,658.332,658.33
28/07/20252,658.052,658.052,658.05
25/07/20252,657.572,657.572,657.57
24/07/20252,658.792,658.792,658.79
23/07/20252,658.542,658.542,658.54
22/07/20252,657.862,657.862,657.86
21/07/20252,656.682,656.682,656.68
18/07/20252,655.532,655.532,655.53
17/07/20252,654.622,654.622,654.62
16/07/20252,653.392,653.392,653.39
15/07/20252,652.982,652.982,652.98
14/07/20252,652.632,652.632,652.63
11/07/20252,651.752,651.752,651.75
10/07/20252,651.502,651.502,651.50
09/07/20252,651.352,651.352,651.35
08/07/20252,651.632,651.632,651.63
07/07/20252,651.922,651.922,651.92
Showing Page : 1 of 2