Mutual Funds Historical Dividends of Axis Ultra Short Term Fund - Regular Plan - Monthly IDCW

Category Launch Date Benchmark Expense Ratio AUM
Debt: Ultra Short Duration 04-09-2018 NIFTY Ultra Short Duration Debt Index B-I 1.15%
As on (31-03-2024)
4,063.99 Cr
As on (31-03-2024)
Dividend Record Date Dividend ( / Unit) NAV () Dividend Yield (%)
25-04-2024 0.0571 10.0419 0.57%
26-03-2024 0.0541 10.0327 0.54%
26-02-2024 0.0574 10.0303 0.57%
25-01-2024 0.0533 10.0264 0.53%
26-12-2023 0.0573 10.026 0.57%
28-11-2023 0.0548 10.0346 0.55%
25-10-2023 0.0527 10.0308 0.53%
25-09-2023 0.0509 10.0357 0.51%
25-08-2023 0.0513 10.0347 0.51%
25-07-2023 0.0491 10.0378 0.49%
26-06-2023 0.0534 10.0344 0.53%
25-05-2023 0.0547 10.0343 0.55%
25-04-2023 0.0663 10.0338 0.66%
27-03-2023 0.0510 10.0289 0.51%
27-02-2023 0.0512 10.029 0.51%
25-01-2023 0.0498 10.0287 0.50%
26-12-2022 0.0506 10.0289 0.50%
25-11-2022 0.0506 10.0289 0.50%
25-10-2022 0.0364 10.0253 0.36%
26-09-2022 0.0299 10.0237 0.30%
25-08-2022 0.0401 10.0262 0.40%
25-07-2022 0.0391 10.026 0.39%
27-06-2022 0.0350 10.025 0.35%
25-04-2022 0.0293 10.0235 0.29%
25-03-2022 0.0294 10.0235 0.29%
25-02-2022 0.0284 10.0233 0.28%
25-01-2022 0.0279 10.0232 0.28%
27-12-2021 0.0247 10.0224 0.25%
25-11-2021 0.0227 10.0219 0.23%
25-10-2021 0.0204 10.0213 0.20%
27-09-2021 0.0250 10.0224 0.25%
25-08-2021 0.0300 10.0237 0.30%
26-07-2021 0.0324 10.0264 0.32%
25-06-2021 0.0275 10.0273 0.27%
25-05-2021 0.0270 10.0292 0.27%
26-04-2021 0.0421 10.0281 0.42%
25-03-2021 0.0200 10.0341 0.20%
25-02-2021 0.0312 10.0297 0.31%
25-01-2021 0.0299 10.0307 0.30%
28-12-2020 0.0315 10.0424 0.31%
25-11-2020 0.0333 10.0498 0.33%
26-10-2020 0.0351 10.0475 0.35%
25-09-2020 0.0337 10.0372 0.34%
25-08-2020 0.0421 10.0342 0.42%
27-07-2020 0.0540 10.0472 0.54%
25-06-2020 0.0463 10.0527 0.46%
26-05-2020 0.0617 10.0473 0.61%
27-04-2020 0.0828 10.0412 0.82%
25-02-2020 0.0368 10.0472 0.37%
27-01-2020 0.0386 10.0484 0.38%
26-12-2019 0.0363 10.0511 0.36%
25-11-2019 0.0397 10.0593 0.39%
25-10-2019 0.0408 10.0555 0.41%
25-09-2019 0.0342 10.0389 0.34%
26-08-2019 0.0483 10.0408 0.48%
25-07-2019 0.0448 10.0352 0.45%
25-06-2019 0.0445 10.0272 0.44%
27-05-2019 0.0457 10.0368 0.46%
25-04-2019 0.0460 10.0242 0.46%
25-03-2019 0.0419 10.0269 0.42%
25-02-2019 0.0472 10.0227 0.47%
25-01-2019 0.0464 10.0291 0.46%
26-12-2018 0.0491 10.0241 0.49%
26-11-2018 0.0509 10.0177 0.51%
25-10-2018 0.0508 10.0176 0.51%