Axis Credit Risk Fund Direct-Growth
NAV
₹23.8866
as on 03 Jun 2025, 09:00 PM
₹0.0080(0.03%)
Last Change
Scheme Information
Axis Credit Risk Fund Direct-Growth
as of 30 Apr 2025, 05:30 AM
₹363.15 Cr
0.80%
2.37%
Open-End
Growth
Exit Load for units in excess of 10% of the investment,1% will be charged for redemption within 12 months.
CRISIL Credit Risk Debt B-II Index
View
Sectors Holding in this Mutual Fund
Cash Holding
2.37%
₹8.60 Cr
Others
97.63%
₹354.54 Cr
Cash Holding
2.37%
₹8.60 Cr
Others
97.63%
₹354.54 Cr
GOI
16.36%
₹59.41 Cr
Birla Corporation Ltd.
5.15%
₹18.70 Cr
Samvardhana Motherson International Ltd.
4.90%
₹17.79 Cr
Tata Projects Ltd.
4.70%
₹17.07 Cr
Aadhar Housing Finance Ltd
4.50%
₹16.34 Cr
Others
64.39%
₹233.83 Cr
GOI
16.36%
₹59.41 Cr
Birla Corporation Ltd.
5.15%
₹18.70 Cr
Samvardhana Motherson International Ltd.
4.90%
₹17.79 Cr
Tata Projects Ltd.
4.70%
₹17.07 Cr
Aadhar Housing Finance Ltd
4.50%
₹16.34 Cr
Others
64.39%
₹233.83 Cr
Funds in this Category
This fund's returns: 8.53%
DSP Credit Risk Direct Plan-Growth
Min. Investment
₹100
15.71
Category Returns
6.16%
15.71%
3Y Returns
15.71 %
HSBC Credit Risk Fund Direct-Growth
Min. Investment
₹5000
12.18
Category Returns
6.16%
15.71%
3Y Returns
12.18 %
Aditya Birla Sun Life Credit Risk Fund Direct-Growth
Min. Investment
₹100
12.18
Category Returns
6.16%
15.71%
3Y Returns
12.18 %
About Axis Credit Risk Fund Direct-Growth
Axis Credit Risk Fund Direct-Growth scheme return performance in last 1 year is 10.01%, in last 3 years is 27.88% and 137.77% since scheme launch. The min. SIP amount to invest in this scheme is ₹1000.
Scheme Details
AUM: | ₹363.15 Cr |
Category: | Debt: Credit Risk |
Launch Date: | Invalid date |
Fund Type: | Open-End |
AMC Information
Axis Mutual Fund
Address
Investment Performance
₹ 1,00,000
would have given a return of
₹1,10,871
₹1,21,647
₹1,24,876
₹1,27,876
Bank Account
Fixed Deposit
Regular Mutual Fund
This Fund on Paytm Money
This Mutual Fund
Profit (absolute return)
₹27,876
27.88%
Investment Returns
Scheme Riskometer
Investors understand that their principal will be at moderately high risk