Mutual Funds Historical Dividends of Axis Long Duration Fund - Direct Plan -Daily IDCW

Category Launch Date Benchmark Expense Ratio AUM
Debt: Long Duration 27-12-2022 NIFTY Long Duration Debt Index A-III 0.32%
As on (31-05-2025)
364.66 Cr
As on (30-05-2025)
Dividend Record Date Dividend ( / Unit) NAV () Dividend Yield (%)
12-06-2025 0.1198 1020.7197 0.01%
11-06-2025 0.1482 1021.0873 0.01%
10-06-2025 0.0941 1022.5493 0.01%
09-06-2025 0.6599 1025.3832 0.06%
06-06-2025 0.2745 1032.9688 0.03%
05-06-2025 0.2781 1043.0777 0.03%
04-06-2025 0.2213 1042.7202 0.02%
03-06-2025 0.1902 1044.3134 0.02%
02-06-2025 0.0267 1043.9197 0.00%
28-05-2025 0.5051 1047.3597 0.05%
27-05-2025 0.1921 1047.1974 0.02%
26-05-2025 0.0113 1046.4353 0.00%
21-05-2025 0.1894 1047.3365 0.02%
20-05-2025 0.2320 1047.1206 0.02%
19-05-2025 0.5997 1046.8346 0.06%
16-05-2025 0.5842 1049.1369 0.06%
15-05-2025 0.1973 1047.1975 0.02%
14-05-2025 0.0632 1046.7874 0.01%
13-05-2025 0.2760 1042.9124 0.03%
03-10-2024 0.5524 1033.415 0.05%
01-10-2024 0.8779 1037.0538 0.08%
30-09-2024 0.9331 1034.9703 0.09%
27-09-2024 0.2662 1034.1677 0.03%
26-09-2024 1.0801 1037.0085 0.10%
25-09-2024 0.6150 1036.2604 0.06%
24-09-2024 0.7052 1033.8185 0.07%
23-09-2024 0.6863 1032.729 0.07%
20-09-2024 1.8548 1032.6115 0.18%
19-09-2024 0.4526 1033.4305 0.04%
17-09-2024 0.1997 1032.231 0.02%
16-09-2024 0.7706 1034.5559 0.07%
13-09-2024 0.2692 1032.4363 0.03%
12-09-2024 0.2119 1031.6538 0.02%
11-09-2024 0.2002 1030.2797 0.02%
10-09-2024 0.0613 1028.1182 0.01%
09-09-2024 0.5226 1027.1971 0.05%
06-09-2024 0.5203 1026.7607 0.05%
05-09-2024 0.8134 1028.4849 0.08%
04-09-2024 0.2714 1029.3211 0.03%
03-09-2024 0.6975 1027.3007 0.07%
02-09-2024 0.5890 1026.7903 0.06%
30-08-2024 0.1167 1027.3657 0.01%
29-08-2024 0.2949 1027.5461 0.03%
28-08-2024 0.2314 1028.3453 0.02%
27-08-2024 0.2230 1029.0917 0.02%
26-08-2024 0.6269 1029.8629 0.06%
23-08-2024 0.4585 1031.0838 0.04%
22-08-2024 0.2511 1031.3473 0.02%
21-08-2024 0.4685 1031.3374 0.05%
20-08-2024 0.4403 1031.7676 0.04%
19-08-2024 0.9779 1029.1128 0.10%
16-08-2024 0.4288 1027.0132 0.04%
14-08-2024 0.3232 1028.0131 0.03%
13-08-2024 0.2402 1025.8406 0.02%
12-08-2024 0.6360 1026.1432 0.06%
09-08-2024 0.2207 1025.7575 0.02%
08-08-2024 0.2632 1026.4635 0.03%
07-08-2024 0.2441 1027.5532 0.02%
06-08-2024 0.2431 1026.7646 0.02%
05-08-2024 1.1592 1027.1649 0.11%
02-08-2024 0.2111 1023.9689 0.02%
01-08-2024 0.2303 1023.7456 0.02%
31-07-2024 0.2464 1024.252 0.02%
30-07-2024 0.2157 1022.4598 0.02%
29-07-2024 0.6740 1026.4484 0.07%
26-07-2024 0.2402 1027.4144 0.02%
25-07-2024 0.2117 1026.2092 0.02%
24-07-2024 0.0059 1026.0735 0.00%
22-07-2024 0.5966 1025.6895 0.06%
19-07-2024 0.2589 1024.9146 0.03%
18-07-2024 0.4227 1024.1424 0.04%
16-07-2024 0.2153 1023.8631 0.02%
15-07-2024 0.6059 1022.7543 0.06%
12-07-2024 0.2494 1021.9703 0.02%
11-07-2024 0.2764 1023.3261 0.03%
10-07-2024 0.2209 1023.4285 0.02%
09-07-2024 0.3285 1022.8847 0.03%
08-07-2024 2.9299 1022.9036 0.29%
05-07-2024 0.3512 1025.2547 0.03%
04-07-2024 0.2331 1026.5912 0.02%
03-07-2024 0.2521 1026.8089 0.02%
02-07-2024 0.2793 1026.4166 0.03%
01-07-2024 0.6472 1025.4948 0.06%
28-06-2024 0.2481 1026.1082 0.02%
27-06-2024 0.2909 1027.8413 0.03%
26-06-2024 0.4147 1027.2624 0.04%
24-06-2024 0.6287 1029.477 0.06%
21-06-2024 0.2261 1029.6065 0.02%
20-06-2024 0.4927 1027.926 0.05%
19-06-2024 0.2688 1028.1577 0.03%
18-06-2024 0.8864 1024.7942 0.09%
14-06-2024 0.2148 1023.9171 0.02%
13-06-2024 0.2663 1022.2287 0.03%
12-06-2024 2.7190 1020.2335 0.27%
11-06-2024 0.2411 1022.4619 0.02%
10-06-2024 0.5850 1020.9223 0.06%
07-06-2024 0.2283 1021.0142 0.02%
06-06-2024 0.1983 1021.6873 0.02%
05-06-2024 0.1927 1017.5314 0.02%
04-06-2024 0.3967 1016.4218 0.04%
03-06-2024 0.6224 1025.2616 0.06%
31-05-2024 0.2491 1022.034 0.02%
30-05-2024 0.0039 1021.7455 0.00%
29-05-2024 0.1691 1021.0417 0.02%
28-05-2024 0.2133 1022.0797 0.02%
27-05-2024 0.5510 1023.4724 0.05%
24-05-2024 0.3673 1022.6191 0.04%
22-05-2024 0.2045 1021.6296 0.02%
21-05-2024 0.7776 1017.3132 0.08%
17-05-2024 0.3877 1016.195 0.04%
16-05-2024 0.4027 1018.1761 0.04%
15-05-2024 0.3358 1017.4911 0.03%
14-05-2024 0.1482 1015.6664 0.01%
13-05-2024 0.5790 1014.6093 0.06%
10-05-2024 0.1990 1015.6462 0.02%
09-05-2024 0.2100 1010.7701 0.02%
08-05-2024 0.0383 1009.5822 0.00%
07-05-2024 0.2412 1009.8536 0.02%
06-05-2024 2.2375 1012.7228 0.22%
03-05-2024 3.0874 1009.5822 0.31%
02-05-2024 0.0770 1009.5822 0.01%
10-04-2024 1.0120 1010.9321 0.10%
05-04-2024 0.2090 1013.4093 0.02%
04-04-2024 1.6494 1015.2992 0.16%
03-04-2024 0.2814 1017.1744 0.03%
02-04-2024 0.8654 1018.732 0.08%
28-03-2024 0.2438 1023.7257 0.02%
27-03-2024 0.1112 1018.9069 0.01%
26-03-2024 0.8146 1018.1627 0.08%
22-03-2024 0.1961 1016.7434 0.02%
21-03-2024 0.2168 1019.0016 0.02%
20-03-2024 1.0399 1016.6969 0.10%
19-03-2024 0.0297 1017.7979 0.00%
18-03-2024 0.5950 1017.5606 0.06%
15-03-2024 0.2091 1021.0632 0.02%
14-03-2024 0.2086 1021.5852 0.02%
13-03-2024 0.2887 1025.3383 0.03%
12-03-2024 0.2477 1026.798 0.02%
11-03-2024 1.0516 1024.8742 0.10%
07-03-2024 0.1321 1024.0493 0.01%
06-03-2024 0.2119 1023.1655 0.02%
05-03-2024 0.0897 1023.34 0.01%
04-03-2024 0.5805 1022.5825 0.06%
01-03-2024 0.1484 1022.6022 0.01%
29-02-2024 0.3761 1019.7625 0.04%
28-02-2024 0.1881 1021.6199 0.02%
27-02-2024 0.0858 1021.6298 0.01%
26-02-2024 0.5579 1022.4199 0.05%
23-02-2024 0.0495 1020.1981 0.00%
22-02-2024 0.2840 1023.111 0.03%
21-02-2024 3.0739 1022.4545 0.30%
06-02-2024 0.4069 1021.3922 0.04%
05-02-2024 0.4853 1020.2892 0.05%
01-02-2024 1.7289 1018.0305 0.17%
31-01-2024 1.3717 1009.5821 0.14%
30-01-2024 3.0819 1009.5809 0.31%
29-01-2024 2.5272 1009.5846 0.25%
25-01-2024 0.3412 1009.5846 0.03%
24-01-2024 0.7525 1009.5842 0.07%
23-01-2024 1.1794 1009.5837 0.12%
17-01-2024 0.2279 1009.5837 0.02%
16-01-2024 2.4230 1009.5829 0.24%
15-01-2024 2.0149 1009.5821 0.20%
11-01-2024 0.4328 1009.5821 0.04%
10-01-2024 0.5279 1009.5817 0.05%
21-12-2023 0.3934 1009.5817 0.04%
19-12-2023 0.1444 1009.5817 0.01%
18-12-2023 1.4008 1009.5813 0.14%
15-12-2023 2.6600 1009.58 0.26%