BOI AXA Liquid Reg-G    Plan:
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 Current Stats & Profile
Latest NAV   1365.4336 (20/05/13)
52-Week High   1365.4336 (20/05/13)
52-Week Low   1256.7063 (21/05/12)
Fund Category   Debt: Liquid
Type   Open End
Launch Date   July  2008
Risk Grade   High
Return Grade   Below Average
Net Assets (Cr) *   893.80 (31/03/13) 
Benchmark   Crisil Liquid
* Quarterly Average
 
 Trailing Returns
As on 20 May 2013 Fund Category
Year to Date 3.28 3.21
1-Month 0.72 0.70
3-Month 2.06 2.09
1-Year 8.67 8.70
3-Year 7.51 8.22
5-Year -- 7.28
Return Since Launch 6.64 --
Returns upto 1 year are absolute and over 1 year are annualised.
 Relative Performance (Fund Vs Category Average)

 Portfolio Summary
 Top Holdings    As on 30 Apr
 Name of Holding   % Net Assets
Capital First  60-D 04/06/2013   9.06
Axis Bank  14/06/2013   9.05
SIDBI  63-D 14/06/2013   9.05
J M Financial Products    7.20
State Bank of Patiala  03/05/2013   4.57

View additional holdings information
 
Top 3 Instruments % Net Asset
As on 30/04/13
Commercial Paper   50.58
Certificate of Deposit   49.75
Reverse Repo/CBLO   3.82
   Indicates an increase or decrease or no change in holding since last portfolio
 Indicates a new holding since last portfolio.
 News and Analysis
Headline Date Story Type
Bharti Axa Extends Liq-uity Facility   31 Oct 2009   Fund News
Bharti AXA Liquid Fund gets new Fund Manager   31 Oct 2009   Fund News
BA Liquid, BA Treasury Advantage: Intro. of Additional Facility   10 Jun 2009   Fund News
BA LIquid and BA Treasury Adv. Fund: Intro of Daily Dividend Re-Inv Opt.   10 Jun 2009   Fund News
Bharti AXA MF: Changes in features under STP   09 Mar 2009   Fund News
Bharti AXA - Retail Becomes Regular   09 Sep 2008   Fund News
Bharti AXA - Change in Minimum Period for Daily SIP/STP   09 Sep 2008   Fund News

View all news/stories related to this fund
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