Cash Equivalent
2.03% Fund
NAV
As on 05-Jun-2026
|
YTD
|
1D
|
1W
|
1M
|
3M
|
6M
|
1Y
|
3Y
|
5Y
|
7Y
|
10Y
|
|
|---|---|---|---|---|---|---|---|---|---|---|---|
|
-8.80
|
--
|
-0.88
|
-2.26
|
-5.01
|
-8.84
|
-5.46
|
9.81
|
--
|
--
|
--
|
|
|
SIP Return (%)*
|
--
|
--
|
--
|
--
|
12.37
|
-12.13
|
-9.92
|
1.63
|
--
|
--
|
--
|
|
SIP Return Value (₹10k/mth)*
|
--
|
--
|
--
|
--
|
3,033
|
5,835
|
11,433
|
36,867
|
--
|
--
|
--
|
As on 05-Jun-2026
* As on 01-Jun-2026
|
Instrument
|
Credit Rating
|
% Assets
|
|
|---|---|---|---|
|
Axis Overnight Direct-G
|
Mutual Fund
|
A1+
|
1.89
|
|
Aditya Birla SL Liquid Direct-G
|
Mutual Fund
|
A1+
|
0.05
|
|
Embassy Office Parks REIT
|
Real Estate Investment Trusts
|
AAA
|
0.02
|
|
Nexus Select Trust
|
Real Estate Investment Trusts
|
AAA
|
0.02
|
|
Brookfield India Real Estate Trust REIT
|
Real Estate Investment Trusts
|
AAA
|
0.02
|
|
Mindspace Business Parks REIT
|
Real Estate Investment Trusts
|
AAA
|
0.02
|
As on 30-Apr-2026
*As on 31-Mar-2026
|
Rating
|
Fund (%)
|
|---|---|
|
Cash Equivalent
|
2.03
|
|
AAA
|
0.14
|
|
SOV
|
0.11
|
|
Unrated / Others
|
0.00
|
|
AA
|
0.00
|
2.03% Fund
|
SIP Return (%)
|
Net Assets (₹ Cr)
|
|
|
|---|---|---|---|
|
AXIS Pension fund Management Limited - Scheme E - TIER I
|
|
6,144
|
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|
|
76,458
|
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|
|
|
28,177
|
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|
|
|
4,533
|
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|
|
|
5,280
|
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