Exclude:   Fixed Maturity Plan (FMPs)   Plans Suspended for Sales   Direct Plans  
Fund Name1-Wk
Return (%)
1-Wk
Rank
15-D
Return (%)
15-Day
Rank
1-M
Return (%)
1-M
Rank
3-M
Return (%)
3-M
Rank
6-M
Return (%)
6-M
Rank
Axis Banking Debt0.08221/2330.34105/2320.8335/2322.7717/2304.4082/152
Axis Banking Debt Direct0.08217/2330.3486/2320.8429/2322.8112/230----
Axis Capital Protection Oriented Series 1-2.78128/141-0.61132/1372.1449/1312.5763/1135.8930/100
Axis Capital Protection Oriented Series 2-2.57121/141-0.44120/1372.0154/1312.7949/1135.9728/100
Axis Capital Protection Oriented Series 3-2.62122/141-0.52127/1372.1548/1312.6657/1135.9727/100
Axis Capital Protection Oriented Series 4-2.49118/141-0.21108/1372.1846/1313.5220/1136.6320/100
Axis Capital Protection Oriented Series 5-2.1399/1410.2147/1372.4320/1314.417/1137.593/100
Axis Constant Maturity 10 Year0.6049/931.9772/923.2267/905.0265/869.4636/47
Axis Constant Maturity 10 Year Direct0.6246/932.0168/923.3162/905.2857/86----
Axis Dynamic Bond0.488/1751.7167/1743.0966/1745.4549/1658.9745/98
Axis Dynamic Bond Direct0.504/1751.7562/1743.1960/1745.7325/165----
Axis Equity-2.376/143-1.31105/1431.59113/1435.195/14211.621/81
Axis Equity Direct-2.447/143-1.31103/1431.67109/1435.433/142----
Axis Focused 25-2.9446/146-0.7537/1442.5042/1442.1521/1419.803/76
Axis Focused 25 Direct-2.9244/146-0.7535/1442.9324/1442.6613/141----
Axis FTP Series 18 (15M)0.175/7320.37111/7240.78493/7002.54240/3864.7275/268
Axis FTP Series 33 (91Days) Direct0.1566/7320.33568/7240.68648/700--------
Axis FTP Series 33 (91Days) Reg0.1579/7320.32579/7240.67657/700--------
Axis FTP Series 34 (392Days) Direct0.09364/7320.36186/7240.87216/700--------
Axis FTP Series 34 (392Days) Reg0.08389/7320.36202/7240.86238/700--------
Axis Gold0.3618/35-3.477/35-2.1727/35-10.243/35-18.054/25
Axis Gold Direct0.3817/35-3.426/35-2.0826/35-9.971/35----
Axis Gold ETF1.4413/35-3.568/35-0.038/35-10.9618/35-18.5413/25
Axis Hybrid Series 1-2.90136/141-0.61133/1372.2341/1312.7451/1136.0226/100
Axis Hybrid Series 2-2.96138/141-0.65134/1372.2639/1312.7055/1136.0624/100
Axis Hybrid Series 3-2.84133/141-0.69135/1372.1450/1312.3974/1135.7233/100
Axis Income0.2391/1751.4694/1742.7084/1744.9485/1658.0554/98
Axis Income Direct0.2583/1751.5087/1742.7783/1745.1171/165----
Axis Income Saver-0.584/440.2622/441.4240/442.6520/435.706/22
Axis Income Saver Direct-0.563/440.3019/441.5039/442.8514/43----
Axis Liquid Direct0.1651/1730.3446/1730.7049/1732.1480/173----
Axis Liquid Inst0.1668/1730.3467/1730.6971/1732.1291/1734.3044/114
Axis Liquid Retail#0.15124/1730.32121/1730.65119/1732.00138/1734.0780/114
Axis Long Term Equity-2.074/720.592/725.264/726.093/727.922/37
Axis Long Term Equity Direct-2.053/720.631/725.343/726.352/72----
Axis Midcap-2.2334/110-0.7836/1100.9573/110-1.7856/1101.4419/58
Axis Midcap Direct-2.1531/110-0.7031/1101.1168/110-1.5554/110----
Axis Short Term Direct0.0575/1020.5166/1021.3462/1023.5239/102----
Axis Short Term Inst0.0382/1020.4777/1021.2775/1023.2968/1025.2940/62
Axis Short Term Retail#0.0381/1020.4776/1021.2774/1023.3067/1025.2344/62
Axis Treasury Advantage Direct0.1454/2330.3573/2320.75114/2322.34128/230----
Axis Treasury Advantage Inst0.1474/2330.3498/2320.74135/2322.29148/2304.4372/152
Axis Treasury Advantage Retail#0.12170/2330.30192/2320.65194/2322.04204/2303.94131/152
Axis Triple Advantage-0.5016/31-0.1314/312.405/310.0918/31-0.5512/15
Axis Triple Advantage Direct-0.4815/31-0.0913/312.483/310.3116/31----
# Plans Suspended for Sales