
Axis Mutual Fund has announced change in exit load under the following schemes with effect from June 22, 2015:
| Scheme | Existing Load | Revised Load |
| Axis Dynamic Bond | 1% if redeemed within 1 year | If redeemed within 12months nil for 10% of investment & 1% for the remaining investment |
| Axis Fixed Income Opportunities | 1% if reddemed within 1 year | If redeemed within 12months nil for 10% of investment & 1% for the remaining investment |
| Scheme | Dividend (₹/unit) |
| Axis Dynamic Bond-DQ | 0.18056625 |
| Axis Dynamic Bond Direct-DQ | 0.18056625 |
| Axis Income-DQ | 0.18056625 |
| Axis Income Direct-DQ | 0.18056625 |
| Axis Income Saver-DQ | 0.18056625 |
| Axis Income Saver Direct-DQ | 0.10833975 |
| Axis FTP Ser 47 (483D) Reg-DQ | 0.144453 |
| Axis FTP Ser 52 (428D) Reg-DQ | 0.144453 |
| Axis FTP Ser 64 (715D) Reg-DQ | 0.144453 |
| Axis Enhanced Arbitrage Reg-D | 0.05 |
| Axis Enhanced Arbitrage Direct-D | 0.05 |
The record date has been fixed as June 25, 2015.