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%
|
NAV Date | Repurcahse (₹) | Sale (₹) | Amount (₹) |
30/07/2025 | 2,658.56 | 2,658.56 | 2,658.56 |
29/07/2025 | 2,658.33 | 2,658.33 | 2,658.33 |
28/07/2025 | 2,658.05 | 2,658.05 | 2,658.05 |
25/07/2025 | 2,657.57 | 2,657.57 | 2,657.57 |
24/07/2025 | 2,658.79 | 2,658.79 | 2,658.79 |
23/07/2025 | 2,658.54 | 2,658.54 | 2,658.54 |
22/07/2025 | 2,657.86 | 2,657.86 | 2,657.86 |
21/07/2025 | 2,656.68 | 2,656.68 | 2,656.68 |
18/07/2025 | 2,655.53 | 2,655.53 | 2,655.53 |
17/07/2025 | 2,654.62 | 2,654.62 | 2,654.62 |
16/07/2025 | 2,653.39 | 2,653.39 | 2,653.39 |
15/07/2025 | 2,652.98 | 2,652.98 | 2,652.98 |
14/07/2025 | 2,652.63 | 2,652.63 | 2,652.63 |
11/07/2025 | 2,651.75 | 2,651.75 | 2,651.75 |
10/07/2025 | 2,651.50 | 2,651.50 | 2,651.50 |
09/07/2025 | 2,651.35 | 2,651.35 | 2,651.35 |
08/07/2025 | 2,651.63 | 2,651.63 | 2,651.63 |
07/07/2025 | 2,651.92 | 2,651.92 | 2,651.92 |
|