Axis Short Term Fund - Retail Plan - Growth Option

Category: Debt: Short Duration
Launch Date: 05-03-2010
Asset Class: Fixed Income
Benchmark: NIFTY Short Duration Debt Index B-II
Expense Ratio: 0.88% As on (31-07-2024)
Status: Open Ended Schemes
Minimum Investment: 5000.0
Minimum Topup: 1000.0
Total Assets: 8,435.57 Cr As on (31-07-2024)
Turn over: -
NAV as on 13-09-2024

28.5484

0.02 (0.0669%)

CAGR Since Inception

7.48%

NIFTY Short Duration Debt Index B-II 8.74%

PERFORMANCE of Axis Short Term Fund - Retail Plan - Growth Option

Scheme Performance (%)

Data as on - 13-09-2024

Yearly Performance (%)

Fund Managers

Devang Shah, Aditya Pagaria

Investment Objective

The fund seeks to generate reasonable return commensurate with low risk and high degree of liquidity from a portfolio of money market and high quality debt securities.

NAV & Lumpsum details( Invested amount 1,00,000)

Show All Monthly Lumpsum Returns
NAV Date NAV Units Market
Value
Returns
(%)
02-03-2010 10.0 10000.0 100000 0.0 %
05-04-2010 10.0735 - 100735 0.73 %
03-05-2010 10.1489 - 101489 1.49 %
02-06-2010 10.1764 - 101764 1.76 %
02-07-2010 10.1978 - 101978 1.98 %
02-08-2010 10.1521 - 101521 1.52 %
02-09-2010 10.1865 - 101865 1.86 %
04-10-2010 10.2306 - 102306 2.31 %
02-11-2010 10.2497 - 102497 2.5 %
02-12-2010 10.2953 - 102953 2.95 %
03-01-2011 10.3707 - 103707 3.71 %
02-02-2011 10.4423 - 104423 4.42 %
03-03-2011 10.5124 - 105124 5.12 %
05-04-2011 10.5979 - 105979 5.98 %
02-05-2011 10.6656 - 106656 6.66 %
02-06-2011 10.7222 - 107222 7.22 %
04-07-2011 10.8348 - 108348 8.35 %
02-08-2011 10.9074 - 109074 9.07 %
02-09-2011 10.9971 - 109971 9.97 %
03-10-2011 11.0657 - 110657 10.66 %
02-11-2011 11.1275 - 111275 11.28 %
02-12-2011 11.2039 - 112039 12.04 %
02-01-2012 11.2987 - 112987 12.99 %
02-02-2012 11.38 - 113800 13.8 %
02-03-2012 11.4237 - 114237 14.24 %
03-04-2012 11.5177 - 115177 15.18 %
02-05-2012 11.6198 - 116198 16.2 %
03-06-2012 0.0 - 0 -100.0 %
03-07-2012 11.7921 - 117921 17.92 %
02-08-2012 11.9129 - 119129 19.13 %
03-09-2012 12.007 - 120070 20.07 %
03-10-2012 12.1451 - 121451 21.45 %
02-11-2012 12.2155 - 122155 22.16 %
03-12-2012 12.2931 - 122931 22.93 %
02-01-2013 12.3834 - 123834 23.83 %
04-02-2013 12.4581 - 124581 24.58 %
04-03-2013 12.5109 - 125109 25.11 %
02-04-2013 12.64 - 126400 26.4 %
02-05-2013 12.7968 - 127968 27.97 %
03-06-2013 12.8962 - 128962 28.96 %
02-07-2013 12.9058 - 129058 29.06 %
02-08-2013 12.6999 - 126999 27.0 %
02-09-2013 12.7237 - 127237 27.24 %
03-10-2013 12.9628 - 129628 29.63 %
05-11-2013 13.1149 - 131149 31.15 %
02-12-2013 13.1846 - 131846 31.85 %
02-01-2014 13.2819 - 132819 32.82 %
03-02-2014 13.3592 - 133592 33.59 %
03-03-2014 13.4274 - 134274 34.27 %
02-04-2014 13.5804 - 135804 35.8 %
02-05-2014 13.689 - 136890 36.89 %
02-06-2014 13.8258 - 138258 38.26 %
02-07-2014 13.9216 - 139216 39.22 %
04-08-2014 14.006 - 140060 40.06 %
02-09-2014 14.0832 - 140832 40.83 %
07-10-2014 14.2196 - 142196 42.2 %
03-11-2014 14.3777 - 143777 43.78 %
02-12-2014 14.5247 - 145247 45.25 %
02-01-2015 14.6105 - 146105 46.11 %
02-02-2015 14.7735 - 147735 47.73 %
02-03-2015 14.8255 - 148255 48.25 %
06-04-2015 14.9567 - 149567 49.57 %
05-05-2015 15.0165 - 150165 50.17 %
02-06-2015 15.0972 - 150972 50.97 %
02-07-2015 15.1825 - 151825 51.82 %
03-08-2015 15.3167 - 153167 53.17 %
02-09-2015 15.419 - 154190 54.19 %
05-10-2015 15.5819 - 155819 55.82 %
02-11-2015 15.6754 - 156754 56.75 %
02-12-2015 15.7337 - 157337 57.34 %
04-01-2016 15.8089 - 158089 58.09 %
02-02-2016 15.8725 - 158725 58.73 %
02-03-2016 15.9334 - 159334 59.33 %
04-04-2016 16.1875 - 161875 61.88 %
02-05-2016 16.2775 - 162775 62.78 %
02-06-2016 16.3687 - 163687 63.69 %
04-07-2016 16.4925 - 164925 64.92 %
02-08-2016 16.6907 - 166907 66.91 %
02-09-2016 16.8126 - 168126 68.13 %
03-10-2016 16.9719 - 169719 69.72 %
02-11-2016 17.0624 - 170624 70.62 %
02-12-2016 17.3743 - 173743 73.74 %
02-01-2017 17.3715 - 173715 73.72 %
02-02-2017 17.5016 - 175016 75.02 %
02-03-2017 17.4758 - 174758 74.76 %
03-04-2017 17.5982 - 175982 75.98 %
02-05-2017 17.6509 - 176509 76.51 %
02-06-2017 17.7824 - 177824 77.82 %
03-07-2017 17.8902 - 178902 78.9 %
02-08-2017 18.0651 - 180651 80.65 %
04-09-2017 18.1908 - 181908 81.91 %
03-10-2017 18.2385 - 182385 82.38 %
02-11-2017 18.3089 - 183089 83.09 %
04-12-2017 18.3546 - 183546 83.55 %
02-01-2018 18.3635 - 183635 83.64 %
02-02-2018 18.3784 - 183784 83.78 %
05-03-2018 18.444 - 184440 84.44 %
03-04-2018 18.6701 - 186701 86.7 %
02-05-2018 18.6335 - 186335 86.33 %
04-06-2018 18.6419 - 186419 86.42 %
02-07-2018 18.7602 - 187602 87.6 %
02-08-2018 18.9186 - 189186 89.19 %
03-09-2018 19.0004 - 190004 90.0 %
03-10-2018 19.0228 - 190228 90.23 %
02-11-2018 19.1674 - 191674 91.67 %
03-12-2018 19.3412 - 193412 93.41 %
02-01-2019 19.5109 - 195109 95.11 %
04-02-2019 19.6106 - 196106 96.11 %
05-03-2019 19.7613 - 197613 97.61 %
02-04-2019 20.0519 - 200519 100.52 %
02-05-2019 20.0623 - 200623 100.62 %
03-06-2019 20.3213 - 203213 103.21 %
02-07-2019 20.3765 - 203765 103.77 %
02-08-2019 20.7269 - 207269 107.27 %
03-09-2019 20.9029 - 209029 109.03 %
03-10-2019 20.9823 - 209823 109.82 %
04-11-2019 21.2107 - 212107 112.11 %
02-12-2019 21.3647 - 213647 113.65 %
02-01-2020 21.4321 - 214321 114.32 %
03-02-2020 21.5983 - 215983 115.98 %
02-03-2020 21.793 - 217930 117.93 %
03-04-2020 21.8653 - 218653 118.65 %
04-05-2020 21.9955 - 219955 119.95 %
02-06-2020 22.3589 - 223589 123.59 %
02-07-2020 22.7675 - 227675 127.68 %
03-08-2020 22.98 - 229800 129.8 %
02-09-2020 23.0471 - 230471 130.47 %
05-10-2020 23.1051 - 231051 131.05 %
02-11-2020 23.3509 - 233509 133.51 %
02-12-2020 23.4742 - 234742 134.74 %
04-01-2021 23.6128 - 236128 136.13 %
02-02-2021 23.5004 - 235004 135.0 %
02-03-2021 23.5352 - 235352 135.35 %
05-04-2021 23.6567 - 236567 136.57 %
03-05-2021 23.7982 - 237982 137.98 %
02-06-2021 23.8838 - 238838 138.84 %
02-07-2021 23.9199 - 239199 139.2 %
02-08-2021 24.0518 - 240518 140.52 %
02-09-2021 24.213 - 242130 142.13 %
04-10-2021 24.269 - 242690 142.69 %
02-11-2021 24.2753 - 242753 142.75 %
02-12-2021 24.3688 - 243688 143.69 %
03-01-2022 24.4129 - 244129 144.13 %
02-02-2022 24.422 - 244220 144.22 %
02-03-2022 24.5352 - 245352 145.35 %
04-04-2022 24.6539 - 246539 146.54 %
02-05-2022 24.6397 - 246397 146.4 %
02-06-2022 24.5227 - 245227 145.23 %
04-07-2022 24.6316 - 246316 146.32 %
02-08-2022 24.8042 - 248042 148.04 %
02-09-2022 24.9236 - 249236 149.24 %
03-10-2022 24.9278 - 249278 149.28 %
02-11-2022 25.0297 - 250297 150.3 %
02-12-2022 25.2272 - 252272 152.27 %
02-01-2023 25.3152 - 253152 153.15 %
02-02-2023 25.4706 - 254706 154.71 %
02-03-2023 25.4899 - 254899 154.9 %
03-04-2023 25.7212 - 257212 157.21 %
02-05-2023 25.982 - 259820 159.82 %
02-06-2023 26.1756 - 261756 161.76 %
03-07-2023 26.2321 - 262321 162.32 %
02-08-2023 26.3646 - 263646 163.65 %
04-09-2023 26.4897 - 264897 164.9 %
03-10-2023 26.575 - 265750 165.75 %
02-11-2023 26.6616 - 266616 166.62 %
04-12-2023 26.8229 - 268229 168.23 %
02-01-2024 27.0261 - 270261 170.26 %
02-02-2024 27.2608 - 272608 172.61 %
04-03-2024 27.4062 - 274062 174.06 %
02-04-2024 27.5656 - 275656 175.66 %
02-05-2024 27.6729 - 276729 176.73 %
03-06-2024 27.9089 - 279089 179.09 %
02-07-2024 28.0451 - 280451 180.45 %
02-08-2024 28.2895 - 282895 182.9 %
02-09-2024 28.4612 - 284612 184.61 %
16-09-2024 28.5799 - 285799 185.8 %

RETURNS CALCULATOR for Axis Short Term Fund - Retail Plan - Growth Option

Growth of 10000 In SIP (Fund vs Benchmark)

Amount :
Period :
Start :
End :

Growth of 10000 In LUMPSUM (Fund vs Benchmark)

Amount :
Start :

Rolling Returns

Rolling returns are the annualized returns of the scheme taken for a specified period (rolling returns period) on every day/week/month and taken till the last day of the duration. In this chart we are showing the annualized returns over the rolling returns period on every day from the start date and comparing it with the benchmark. Rolling returns is the best measure of a fund's performance. Trailing returns have a recency bias and point to point returns are specific to the period in consideration. Rolling returns, on the other hand, measures the fund's absolute and relative performance across all timescales, without bias.

Riskometer

Key Performance and Risk Statistics of Axis Short Term Fund - Retail Plan - Growth Option

Key Statistics Volatility Sharpe Ratio Alpha Beta Yield to Maturity Average Maturity
Axis Short Term Fund - Retail Plan - Growth Option 1.02 -0.19 3.66 1.92 7.61 3.79
Debt: Short Duration - - - - - -

PEER COMPARISION of Axis Short Term Fund - Retail Plan - Growth Option

Amount :
Start :
End :
Period
Data as on - 13-09-2024
Scheme Name Launch
Date
1-Year
Ret (%)
2-Yrs
Ret (%)
3-Yrs
Ret (%)
5-Yrs
Ret (%)
10-Yrs
Ret (%)
Axis Short Term Fund - Retail Plan - Growth Option 05-03-2010 7.63 6.9 5.61 6.4 7.28
HDFC Short Term Debt Fund - Growth Option 05-06-2010 8.01 7.33 5.83 6.79 7.59
BANDHAN Bond Fund - Short Term - Regular Plan - Growth 14-12-2000 7.94 6.96 5.4 6.12 7.08
Sundaram Short Duration Fund (Formerly Known as Principal Short Term Debt Fund) Regular Principal Units 01-01-2013 7.89 7.14 0.0 0.0 0.0
Sundaram Short Duration Fund (Formerly Known as Principal Short Term Debt Fund)- Growth Plan 01-01-2013 7.89 7.14 8.06 7.58 6.44
UTI Short Duration Fund - Regular Plan - Growth Option 28-08-2007 7.8 7.1 7.33 7.51 6.48
Invesco India Short Duration Fund - Growth 24-03-2007 7.79 6.68 4.98 5.71 6.64
Invesco India Short Duration Fund - Plan B - Growth 24-03-2007 7.75 6.66 4.97 5.7 6.64
Nippon India Short Term Fund-Growth Plan 10-12-2002 7.74 6.94 5.49 6.36 7.19
ICICI Prudential Short Term Fund - Growth Option 01-10-2001 7.7 7.35 6.17 6.91 7.67

PORTFOLIO ANALYSIS of Axis Short Term Fund - Retail Plan - Growth Option

Asset Allocation (%)

Allocation Percentage (%)

Market Cap Distribution

Others

200.04%

Total

100%