Mutual Funds Historical Dividends of Axis Treasury Advantage Fund - Direct Plan - Monthly IDCW

Category Launch Date Benchmark Expense Ratio AUM
Debt: Low Duration 01-01-2013 NIFTY Low Duration Debt Index B-I 0.29%
As on (31-03-2024)
5,100.92 Cr
As on (31-03-2024)
Dividend Record Date Dividend ( / Unit) NAV () Dividend Yield (%)
25-04-2024 6.9795 1009.6083 0.69%
26-03-2024 6.5220 1009.6083 0.65%
26-02-2024 7.0560 1009.6083 0.70%
25-01-2024 6.0189 1009.6083 0.60%
26-12-2023 5.6919 1009.6083 0.56%
28-11-2023 6.3559 1009.6083 0.63%
25-10-2023 4.7042 1009.6083 0.47%
25-09-2023 5.9020 1009.6083 0.58%
25-08-2023 5.2169 1009.6083 0.52%
25-07-2023 6.1497 1009.6083 0.61%
26-06-2023 5.6449 1009.6083 0.56%
25-05-2023 6.5515 1009.6083 0.65%
25-04-2023 8.8232 1009.6083 0.87%
27-03-2023 6.0487 1009.6083 0.60%
27-02-2023 5.3409 1009.6083 0.53%
25-01-2023 5.5619 1009.6083 0.55%
26-12-2022 5.3671 1009.6083 0.53%
25-11-2022 6.3620 1009.6083 0.63%
25-10-2022 4.3677 1009.6083 0.43%
26-09-2022 3.0622 1009.6083 0.30%
25-08-2022 5.2969 1009.6083 0.52%
25-07-2022 5.3970 1009.6083 0.53%
27-06-2022 2.4771 1009.6083 0.25%
25-04-2022 2.9686 1009.6083 0.29%
25-03-2022 4.2114 1009.6083 0.42%
25-02-2022 2.8284 1009.6083 0.28%
25-01-2022 3.8517 1009.6083 0.38%
27-12-2021 2.9050 1009.6083 0.29%
25-11-2021 2.8679 1009.6083 0.28%
25-10-2021 2.5429 1009.6083 0.25%
27-09-2021 3.1608 1009.6083 0.31%
25-08-2021 4.0349 1009.6083 0.40%
26-07-2021 4.5702 1009.6083 0.45%
25-06-2021 2.8189 1009.6083 0.28%
25-05-2021 3.9875 1009.6083 0.39%
26-04-2021 5.1500 1009.6083 0.51%
25-03-2021 3.5106 1009.6083 0.35%
25-02-2021 3.0524 1009.6083 0.30%
25-01-2021 1.4404 1009.6083 0.14%
28-12-2020 2.9348 1009.6083 0.29%
25-11-2020 5.0493 1009.6083 0.50%
26-10-2020 7.0872 1009.6083 0.70%
25-09-2020 4.0696 1009.6083 0.40%
25-08-2020 3.0995 1009.6083 0.31%
27-07-2020 8.1538 1009.6083 0.81%
25-06-2020 6.0433 1009.6083 0.60%
26-05-2020 12.1182 1005.9659 1.20%
27-04-2020 9.4407 1005.453 0.94%
25-02-2020 4.4919 1005.453 0.45%
27-01-2020 4.6948 1005.453 0.47%
26-12-2019 3.0447 1005.453 0.30%
25-11-2019 4.8308 1005.453 0.48%
25-10-2019 6.5155 1005.453 0.65%
25-09-2019 3.5341 1005.453 0.35%
26-08-2019 7.0538 1005.453 0.70%
25-07-2019 6.3558 1005.453 0.63%
25-06-2019 4.1800 1005.453 0.42%
27-05-2019 7.2532 1005.453 0.72%
25-04-2019 4.5722 1005.453 0.45%
25-03-2019 5.9733 1005.453 0.59%
25-02-2019 4.8980 1005.453 0.49%
25-01-2019 5.6831 1005.453 0.57%
26-12-2018 6.0843 1005.453 0.61%
26-11-2018 5.6050 1005.453 0.56%
25-10-2018 6.1692 1005.453 0.61%
25-09-2018 1.4280 1005.453 0.14%
27-08-2018 4.9727 1005.453 0.49%
25-07-2018 4.9498 1005.453 0.49%
25-06-2018 6.1992 1005.453 0.62%
25-05-2018 1.8093 1005.453 0.18%
25-04-2018 4.2418 1005.453 0.42%
26-03-2018 5.2373 1005.453 0.52%
26-02-2018 4.0268 1005.453 0.40%
25-01-2018 3.8577 1005.453 0.38%
26-12-2017 2.8261 1005.453 0.28%
27-11-2017 3.8185 1005.453 0.38%
25-10-2017 4.2107 1005.453 0.42%
25-09-2017 3.4708 1005.453 0.35%
28-08-2017 4.6709 1005.453 0.46%
25-07-2017 4.4987 1005.453 0.45%
27-06-2017 5.2470 1005.453 0.52%
25-05-2017 4.0786 1005.453 0.41%
25-04-2017 4.3438 1005.453 0.43%
27-03-2017 3.8444 1005.453 0.38%
27-02-2017 4.6400 1005.453 0.46%
25-01-2017 5.1364 1005.453 0.51%
26-12-2016 1.8680 1005.453 0.19%
25-11-2016 4.5297 1005.453 0.45%
25-10-2016 4.5210 1002.7138 0.45%
26-09-2016 4.7151 1002.7138 0.47%
25-08-2016 5.3713 1002.7138 0.54%
25-07-2016 5.6361 1002.7138 0.56%
27-06-2016 5.3481 1002.7138 0.53%
25-05-2016 4.5021 1002.7137 0.45%
25-04-2016 6.7098 1002.7137 0.67%
28-03-2016 6.1171 1002.1788 0.61%
25-02-2016 4.1226 1002.1788 0.41%
25-01-2016 4.3657 1002.1787 0.44%
28-12-2015 4.1662 1002.1786 0.42%
26-11-2015 4.6440 1002.1786 0.46%
26-10-2015 6.0754 1002.1785 0.61%
28-09-2015 4.9572 1002.1784 0.49%
25-08-2015 4.7053 1002.1783 0.47%
27-07-2015 5.7038 1002.1782 0.57%
25-06-2015 5.3584 1002.1781 0.53%
25-05-2015 4.8130 1002.178 0.48%
27-04-2015 6.7103 1002.1779 0.67%
25-03-2015 4.7585 1002.1778 0.47%
25-02-2015 4.5617 1002.1777 0.46%
27-01-2015 5.7527 1002.1776 0.57%
26-12-2014 5.0101 1002.1775 0.50%
25-11-2014 5.1801 1002.1774 0.52%
27-10-2014 5.7164 1002.1773 0.57%
25-09-2014 5.7483 1002.1772 0.57%
25-08-2014 5.5335 1002.1771 0.55%
25-07-2014 5.3973 1002.177 0.54%
25-06-2014 5.4082 1002.1769 0.54%
26-05-2014 5.8379 1002.1768 0.58%
25-04-2014 6.4619 1002.1767 0.64%
25-03-2014 6.6315 1002.1766 0.66%
25-02-2014 5.2231 1002.0129 0.52%
27-01-2014 6.0120 1002.0128 0.60%
26-12-2013 6.4017 1002.0127 0.64%
25-11-2013 6.1510 1002.0126 0.61%
25-10-2013 7.5300 1002.0125 0.75%
25-09-2013 8.1518 1001.5241 0.81%
26-08-2013 7.8857 1000.9965 0.79%
25-07-2013 1.5724 1000.9964 0.16%
25-06-2013 4.9798 1000.9964 0.50%
27-05-2013 6.7104 1000.9963 0.67%
25-04-2013 7.6980 1000.9892 0.77%
25-03-2013 5.7526 1000.7127 0.57%
25-02-2013 5.5685 1000.7126 0.56%
28-01-2013 6.9856 1000.7125 0.70%