Mutual Funds Historical Dividends of Axis Dynamic Bond Fund - Direct Plan - Quarterly IDCW

Category Launch Date Benchmark Expense Ratio AUM
Debt: Dynamic Bond 01-01-2013 NIFTY Composite Debt Index B-III 0.26%
As on (31-03-2024)
1,708.41 Cr
As on (31-03-2024)
Dividend Record Date Dividend ( / Unit) NAV () Dividend Yield (%)
26-03-2024 0.1000 10.6025 0.94%
26-12-2023 0.1000 10.4539 0.96%
25-09-2023 0.1000 10.4142 0.96%
26-06-2023 0.1000 10.3805 0.96%
27-03-2023 0.1000 10.1925 0.98%
26-12-2022 0.2500 10.3118 2.42%
26-09-2022 0.2500 10.326 2.42%
25-03-2022 0.2500 10.5792 2.36%
27-12-2021 0.2500 10.8123 2.31%
27-09-2021 0.2500 10.9983 2.27%
25-06-2021 0.2500 11.0403 2.26%
25-03-2021 0.2500 11.0424 2.26%
28-12-2020 0.2500 11.3536 2.20%
25-09-2020 0.2500 11.2604 2.22%
25-06-2020 0.2500 11.3672 2.20%
26-03-2020 0.1801 10.8354 1.66%
26-12-2019 0.1801 10.9971 1.64%
25-09-2019 0.1801 10.9752 1.64%
25-06-2019 0.1801 10.9367 1.65%
25-03-2019 0.1801 10.8074 1.67%
26-12-2018 0.1801 10.8422 1.66%
25-09-2018 0.1801 10.6341 1.69%
25-06-2018 0.1801 10.7366 1.68%
26-03-2018 0.1806 10.9162 1.65%
26-12-2017 0.1806 11.0769 1.63%
25-09-2017 0.1806 11.3825 1.59%
27-06-2017 0.1806 11.532 1.57%
29-03-2017 0.1806 11.1689 1.62%
26-12-2016 0.1806 11.5549 1.56%
26-09-2016 0.1806 11.4949 1.57%
27-06-2016 0.1806 11.1578 1.62%
28-03-2016 0.1806 11.134 1.62%
28-12-2015 0.1806 11.0865 1.63%
28-09-2015 0.1806 11.1685 1.62%
25-06-2015 0.1806 11.077 1.63%
25-03-2015 0.1815 11.2494 1.61%
26-12-2014 0.1815 11.1666 1.63%
25-09-2014 0.1948 10.7945 1.80%
25-06-2014 0.1948 10.8025 1.80%
25-03-2014 0.1169 10.5789 1.10%
27-05-2013 0.2190 10.751 2.04%
25-03-2013 0.2202 10.4837 2.10%