Expense Ratio –When making an investment, the expense ratio for the mutual fund is calculated by dividing the operating fees and management fees by the total fund value. However, this fee is adjusted in the Net Asset Value (NAV) and the investor does not have to handle these charges over...
The current Net Asset Value (NAV) of the Axis Multi Asset Allocation Fund - Direct Growth plan is approximately ₹44.13 as of Dec 31, 2024. How do I invest in Axis Multi Asset Allocation Fund? Investing in this mutual fund scheme on ET Money is fast, easy, and completely paperless. ...
NAV: ₹26.69 as on Dec 27, 2024 This fund Category average Loading...ET Money rank in Medium Duration #NAUnlock Fund Report Card Consistency of returns NA NA Protection from volatility NA NA Return Consistency: This fund is one of the best in generating consistent return in it's categor...
(Financial Information Users) accessing their data from FIPs (Financial Information Providers). FIPs are institutions that hold a user’s data (data from bank accounts, deposits, mutual funds, insurance policies, and pension funds) and FIUs (e.g. Lending banks) request data. AAs do not have...
Expense Ratio– When making an investment, the expense ratio for the mutual fund is calculated by dividing the operating fees and management fees by the total fund value. However, this fee is adjusted in the Net Asset Value (NAV) and the investor does not have to handle these charges over...
The current Net Asset Value (NAV) of the Axis Retirement Fund - Dynamic Plan - Direct Growth plan is approximately₹20.91as of Jan 10, 2025. How do I invest in Axis Retirement Fund - Dynamic Plan? Investing in this mutual fund scheme on ET Money is fast, easy, and completely paperless...
The current Net Asset Value (NAV) of the Axis Small Cap Fund - Direct Growth plan is approximately ₹123.61 as of Jan 01, 2025. How do I invest in Axis Small Cap Fund? Investing in this mutual fund scheme on ET Money is fast, easy, and completely paperless. It only takes a few ...
What is the current NAV of Axis Dynamic Bond Fund? The current Net Asset Value (NAV) of the Axis Dynamic Bond Fund - Direct Growth plan is approximately₹30.98as of Jan 01, 2025. How do I invest in Axis Dynamic Bond Fund? Investing in this mutual fund scheme on ET Money is fast,...