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Axis Floater Fund-Reg(DD-IDCW)

Scheme Returns

9.09%

Category Returns

8.22%

Trailing Returns

1 Day 1 week 1 Mth 3 Mth 1 Yrs 3 Yrs 4 Yrs 5 Yrs Since Inception
Axis Floater Fund-Reg(DD-IDCW) 0.03 -0.11 0.77 2.09 8.14 0.00 0.00 0.00 6.06
Debt - Floater Fund 6.49 5.58 8.22 7.81 7.85 6.00 5.97 6.66 6.85

* Equity - Returns upto 1 year are absolute and over 1 year are CAGR.

* Debt - Returns upto 1 year are annualized and over 1 year are CAGR.


  • AMC

    Axis Asset Management Company Ltd.

  • Fund

    Axis Mutual Fund

Snapshot

  • Inception Date

    29-Jul-2021

  • Initial Price

    ₹1,000

  • Entry Load

    --

  • Size of Fund(in Cr.)

    --

  • Scheme Plan

    --

  • Scheme Class

    Debt - Floater Fund

  • Objectives

    To generate regular income through investment in a portfolio comprising predominantly of floatingrate instruments and fixed rate instruments swapped for floating rate returns. The Scheme may alsoinvest a portion of its net assets in fixed rate debt and money market instruments.

  • Scheme Type

    Open ended scheme

  • Min. Investment

    ₹5,000

  • Exit Load

    --

  • Latest NAV

    1010.164

  • Fund Manager

    Mr. Aditya Pagaria

  • Fund Manager Profile

    Mr. Aditya Pagaria is associated with ICICI Prudential AMC from May 2007 till date. Prior to working in Dealing function, he was handling NAV and fund accounting related functions.

Riskometer

  • Low
  • Low to moderate
  • Moderate
  • Moderately High
  • High
  • Very High
  • Fund Information

  • AMC

    Axis Asset Management Company Ltd.

  • Address

    One Lodha Place, 22 & 23 Floor, Senapati Bapat Marg, Lower Parel Mumbai - 400 013

  • Phone

    022-43255161

  • Fax

    (040) 23311968

  • Email

    customerservice@axismf.com

  • Website

    www.axismf.com

  • Registrar Agent

  • Registrar

    KFin Technologies Limited

  • Address

    Selenium Building, Tower-B, Plot No 31 & 32 Financial District,Nanakramguda, Serilingampally Hyderabad - 500 032

  • Phone

    (040) 23312454 23320751 23320752

  • Fax

    (040) 23311968

  • Email

    customercare@karvy.com

  • Website

    https://mfs.kfintech.com/

Portfolio Details

Company Market Value hold percentage
Clearing Corporation of India Ltd 911.78 2.94
Net Receivables / (Payables) 726.59 2.34
SBI - Corporate Debt Market Development Fund (CDMDF) - Class A2 115.06 0.38
First Business Receivables Trust (01/01/2025) ** 536.12 1.73
4.7% Government of India (22/09/2033) 1001.86 3.23
6.50% Tata Capital Housing Finance Limited (15/06/2026) ** 1931.19 6.23
4.04% Government of India (04/10/2028) 2975.44 9.59
6.54% Government of India (17/01/2032) 2398.68 7.79
7.4% National Bank For Agriculture and Rural Development (30/01/2026) 2481.87 8.06
7.38% Government of India (20/06/2027) 2020.51 6.52
7.26% Government of India (22/08/2032) 1007.11 3.25
7.9237% Bajaj Housing Finance Limited (16/03/2026) ** 2001.77 6.45
7.59% Power Finance Corporation Limited (17/01/2028) 2501.94 8.07
7.59% Small Industries Dev Bank of India (10/02/2026) ** 2499.77 8.06
7.26% Government of India (06/02/2033) 1005.96 3.17
7.58% National Bank For Agriculture and Rural Development (31/07/2026) 2501.28 8.07
8.3774% HDB Financial Services Limited (24/04/2026) ** 1007.72 3.25
7.06% Government of India (10/04/2028) 2490.19 7.85
7.17% Government of India (17/04/2030) 2490.03 8.12
8.1059% Kotak Mahindra Investments Limited (18/07/2025) ** 2000.75 6.45
7.80% Housing Development Finance Corporation Limited (03/05/2033) 2402.63 7.75
7.23% Indian Railway Finance Corporation Limited (15/10/2026) ** 2486.61 8.02
Interest Rate Swaps Pay Fix Receive Floating -ICICI BANK (19/09/2023) (FV 2500 Lacs) 0.05 0
Interest Rate Swaps Pay Fix Receive Floating -HSBC BANK (19/09/2023) (FV 2500 Lacs) 0.15 0
Interest Rate Swaps Pay Fix Receive Floating -NOMURA (12/08/2023) (FV 2500 Lacs) 0.08 0
Interest Rate Swaps Pay Fix Receive Floating -IDFC BANK (12/08/2023) (FV 2500 Lacs) 0.06 0
Interest Rate Swaps Pay Fix Receive Floating -ICISECPD (14/08/2023) (FV 2500 Lacs) 0.06 0
Interest Rate Swaps Pay Fix Receive Floating -NOMURA (09/03/2024) (FV 2500 Lacs) -0.18 -0
7.46% REC Limited (30/06/2028) 2498.14 8.06
Interest Rate Swaps Pay Fix Receive Floating -AXIS BANK (04/09/2023) (FV 3000 Lacs) 0.62 0
7.25% Government of India (12/06/2063) 1011.82 4.05
7.3% Government of India (19/06/2053) 493.6 1.6
7.80% HDFC Bank Limited (03/05/2033) 2399.68 7.57
7.8% HDFC Bank Limited (06/09/2032) ** 2487.69 8.08
7.18% Government of India (24/07/2037) 1480.61 4.83
7.18% Government of India (14/08/2033) 1008.98 4.04
7.85% Bajaj Housing Finance Limited (01/09/2028) ** 499.61 1.63
7.78% State Government Securities (01/11/2031) 1501.96 4.96
7.83% Small Industries Dev Bank of India (24/11/2028) 2001.41 6.66
7.96% Pipeline Infrastructure Private Limited (11/03/2029) ** 1006.89 3.61
7.96% Pipeline Infrastructure Private Limited (11/03/2028) ** 501.1 1.79
7.96% Pipeline Infrastructure Private Limited (11/03/2027) ** 499.78 1.79
7.39% Chhatisgarh State Development Loans (13/03/2033) 1496.8 5.36
Interest Rate Swaps Pay Fix Receive Floating -CCIL (29/04/2024) (FV 2500 Lacs) -0.54 -0
7.48% Uttar Pradesh State Development Loans (22/03/2040) 2019.04 7.23
7.47% Chhattisgarh State Development Loans (20/03/2033) 2507.65 8.98
7.34% Government of India (22/04/2064) 2047.55 8.2
9.02% Muthoot Finance Limited (14/07/2027) ** 498.16 2

Divident Details

Scheme Name Date Dividend (%)
Axis Floater Fund 17-07-2023 0.62424923
Axis Floater Fund 18-07-2023 0.86085839
Axis Floater Fund 19-07-2023 0.1517
Axis Floater Fund 20-07-2023 0.2636
Axis Floater Fund 24-07-2023 0.7141
Axis Floater Fund 26-07-2023 0.0273
Axis Floater Fund 27-07-2023 0.113
Axis Floater Fund 09-08-2023 0.2557
Axis Floater Fund 10-08-2023 0.5738
Axis Floater Fund 21-08-2023 0.2108
Axis Floater Fund 23-08-2023 0.7356
Axis Floater Fund 24-08-2023 0.3845
Axis Floater Fund 25-08-2023 0.1535
Axis Floater Fund 28-08-2023 0.9331
Axis Floater Fund 29-08-2023 0.2112
Axis Floater Fund 30-08-2023 0.4913
Axis Floater Fund 01-09-2023 0.3159
Axis Floater Fund 04-09-2023 0.1697
Axis Floater Fund 07-09-2023 0.6122
Axis Floater Fund 13-09-2023 1.5018
Axis Floater Fund 14-09-2023 1.2945
Axis Floater Fund 20-09-2023 0.3924
Axis Floater Fund 21-09-2023 0.4044
Axis Floater Fund 02-11-2023 0.8353
Axis Floater Fund 03-11-2023 0.4525
Axis Floater Fund 06-11-2023 0.9916
Axis Floater Fund 07-11-2023 0.8055
Axis Floater Fund 08-11-2023 0.8066
Axis Floater Fund 09-11-2023 0.2787
Axis Floater Fund 13-11-2023 0.1797
Axis Floater Fund 15-11-2023 2.2458
Axis Floater Fund 16-11-2023 0.1236
Axis Floater Fund 17-11-2023 0.7055
Axis Floater Fund 29-11-2023 0.8383
Axis Floater Fund 04-12-2023 0.2969
Axis Floater Fund 05-12-2023 0.3052
Axis Floater Fund 06-12-2023 0.809
Axis Floater Fund 07-12-2023 0.4303
Axis Floater Fund 13-12-2023 0.703
Axis Floater Fund 14-12-2023 2.4371
Axis Floater Fund 15-12-2023 0.1684
Axis Floater Fund 18-12-2023 0.5432
Axis Floater Fund 19-12-2023 0.8124
Axis Floater Fund 20-12-2023 0.1647
Axis Floater Fund 21-12-2023 0.1751
Axis Floater Fund 22-12-2023 0.1791
Axis Floater Fund 26-12-2023 1.0479
Axis Floater Fund 29-12-2023 0.6286
Axis Floater Fund 01-01-2024 0.0271
Axis Floater Fund 08-01-2024 1.4267
Axis Floater Fund 09-01-2024 0.3565
Axis Floater Fund 10-01-2024 0.1837
Axis Floater Fund 11-01-2024 0.1872
Axis Floater Fund 12-01-2024 0.1846
Axis Floater Fund 15-01-2024 0.5508
Axis Floater Fund 16-01-2024 0.1926
Axis Floater Fund 17-01-2024 0.1902
Axis Floater Fund 18-01-2024 0.194
Axis Floater Fund 19-01-2024 0.193
Axis Floater Fund 23-01-2024 0.7341
Axis Floater Fund 24-01-2024 0.1877
Axis Floater Fund 25-01-2024 0.5501
Axis Floater Fund 29-01-2024 0.7413
Axis Floater Fund 30-01-2024 0.021
Axis Floater Fund 31-01-2024 0.1706
Axis Floater Fund 01-02-2024 0.1717
Axis Floater Fund 02-02-2024 0.1538
Axis Floater Fund 05-02-2024 0.5024
Axis Floater Fund 06-02-2024 0.1344
Axis Floater Fund 07-02-2024 0.1556
Axis Floater Fund 08-02-2024 0.1664
Axis Floater Fund 09-02-2024 0.1788
Axis Floater Fund 12-02-2024 0.5537
Axis Floater Fund 13-02-2024 0.1895
Axis Floater Fund 14-02-2024 0.1883
Axis Floater Fund 15-02-2024 0.2974
Axis Floater Fund 16-02-2024 0.1195
Axis Floater Fund 20-02-2024 0.7216
Axis Floater Fund 21-02-2024 0.1843
Axis Floater Fund 22-02-2024 0.1893
Axis Floater Fund 23-02-2024 0.1201
Axis Floater Fund 26-02-2024 0.5316
Axis Floater Fund 27-02-2024 0.0994
Axis Floater Fund 28-02-2024 0.1209
Axis Floater Fund 29-02-2024 0.3453
Axis Floater Fund 01-03-2024 0.1675
Axis Floater Fund 04-03-2024 0.5701
Axis Floater Fund 05-03-2024 1.0288
Axis Floater Fund 06-03-2024 0.1525
Axis Floater Fund 07-03-2024 0.2621
Axis Floater Fund 11-03-2024 0.7725
Axis Floater Fund 12-03-2024 0.6585
Axis Floater Fund 13-03-2024 0.1748
Axis Floater Fund 14-03-2024 0.1779
Axis Floater Fund 15-03-2024 0.1842
Axis Floater Fund 18-03-2024 0.5581
Axis Floater Fund 19-03-2024 0.6703
Axis Floater Fund 20-03-2024 0.1699
Axis Floater Fund 21-03-2024 0.8555
Axis Floater Fund 22-03-2024 0.1703
Axis Floater Fund 26-03-2024 0.7327
Axis Floater Fund 27-03-2024 0.9168
Axis Floater Fund 02-04-2024 0.6755
Axis Floater Fund 03-04-2024 0.1616
Axis Floater Fund 04-04-2024 0.1748
Axis Floater Fund 05-04-2024 0.183
Axis Floater Fund 08-04-2024 0.6478
Axis Floater Fund 10-04-2024 0.3169
Axis Floater Fund 15-04-2024 0.7935
Axis Floater Fund 23-04-2024 0.3506
Axis Floater Fund 29-04-2024 0.3239
Axis Floater Fund 02-05-2024 1.6012
Axis Floater Fund 03-05-2024 0.3077
Axis Floater Fund 06-05-2024 0.5239
Axis Floater Fund 07-05-2024 0.1779
Axis Floater Fund 08-05-2024 0.1861
Axis Floater Fund 09-05-2024 0.1862
Axis Floater Fund 10-05-2024 0.8312
Axis Floater Fund 13-05-2024 0.6108
Axis Floater Fund 14-05-2024 0.2056
Axis Floater Fund 15-05-2024 0.4102
Axis Floater Fund 16-05-2024 0.5079
Axis Floater Fund 17-05-2024 0.1839
Axis Floater Fund 21-05-2024 0.7369
Axis Floater Fund 22-05-2024 0.1756
Axis Floater Fund 24-05-2024 0.3674
Axis Floater Fund 27-05-2024 0.5634
Axis Floater Fund 28-05-2024 0.1934
Axis Floater Fund 29-05-2024 0.1906
Axis Floater Fund 30-05-2024 0.0113
Axis Floater Fund 31-05-2024 0.6616
Axis Floater Fund 03-06-2024 0.5554
Axis Floater Fund 04-06-2024 1.143
Axis Floater Fund 05-06-2024 0.4054
Axis Floater Fund 06-06-2024 0.1675
Axis Floater Fund 07-06-2024 0.1762
Axis Floater Fund 10-06-2024 0.5385
Axis Floater Fund 11-06-2024 0.1796
Axis Floater Fund 12-06-2024 0.1825
Axis Floater Fund 13-06-2024 0.1909
Axis Floater Fund 14-06-2024 0.1922
Axis Floater Fund 18-06-2024 0.7401
Axis Floater Fund 19-06-2024 0.2109
Axis Floater Fund 20-06-2024 0.1933
Axis Floater Fund 21-06-2024 0.2875
Axis Floater Fund 24-06-2024 0.5328
Axis Floater Fund 25-06-2024 0.2304
Axis Floater Fund 26-06-2024 0.1946
Axis Floater Fund 27-06-2024 0.5718
Axis Floater Fund 28-06-2024 0.1938
Axis Floater Fund 01-07-2024 0.588

Alternative Funds From Category

Scheme Name Asset Size 1M 3M 6M 1Y 3Y
Aditya Birla Sun Life Floating Rate Fund-RETAIL - WEEKLY IDCW 55.01 9.78 10.12 10.58 10.2 7.1
HDFC Floating Rate Debt Fund - Daily IDCW Option 3669.57 8.1 7.92 8.07 7.91 6.15
ICICI Prudential Floating Interest Fund - Daily IDCW 482.71 8.68 7.69 7.8 7.91 5.95
Franklin India Floating Rate Fund - IDCW 405.1 7.95 7.89 7.96 7.76 5.72
NIPPON INDIA FLOATING RATE FUND - MONTHLY IDCW Option 31.66 7.18 7.13 7.76 7.35 5.67

Other Funds From - Axis Floater Fund-Reg(DD-IDCW)

Scheme Name Asset Size 1M 3M 6M 1Y 3Y
Axis Liquid Fund - Regular Plan - Growth Option 36518.03 7.03 7.23 7.42 7.32 5.79
Axis ELSS Tax Saver Fund - Regular Plan - Growth 35641.94 8.17 7.85 16.06 29.5 11.27
Axis ELSS Tax Saver Fund - Regular Plan - Growth 35473.88 8.17 7.85 16.06 29.5 11.27
Axis ELSS Tax Saver Fund - Regular Plan - Growth 34895.64 8.17 7.85 16.06 29.5 11.27
Axis ELSS Tax Saver Fund - Regular Plan - Growth 34299.84 8.17 7.85 16.06 29.5 11.27
Axis ELSS Tax Saver Fund - Regular Plan - Growth 34025.16 8.17 7.85 16.06 29.5 11.27
Axis Bluechip Fund - Regular Plan - Growth 33987.01 7.48 6.89 14.7 28.41 12.02
Axis Bluechip Fund - Regular Plan - Growth 33891.89 7.48 6.89 14.7 28.41 12.02
Axis Liquid Fund - Regular Plan - Growth Option 33841.39 7.03 7.23 7.42 7.32 5.79
Axis Bluechip Fund - Regular Plan - Growth 33644.25 7.48 6.89 14.7 28.41 12.02