CIN- L67120MH1995PLC084899

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Axis Corporate Bond Fund - Regular Plan

Fund Axis Mutual Fund
Category Debt - Corporate Bond
Type Open Ended
NAV(12/12/2025) 17.5460
Percentage Returns
1 Month Ago 0.05%
3 Months Ago 1.45%
1 Year Ago 7.89%
Inception Date 23-06-2017
Fund Manager Mr. Devang Shah
Initial Price 10.00
Min. Invest. `100
Objectives The Scheme seeks to provide steady income and capital appreciation by investing in corporate debt.
Entry Load Nil
Exit Load Nil

Trailing Returns

  1 Mth 3 Mths 1 Yr 3 Yrs
Scheme0.051.457.897.58
Category0.021.266.6420.95
Sensex0.944.114.8911.13
Nifty0.663.716.112.09

Other Options

Options NAV (`)
Growth17.5460 (12/12/2025)
IDCW13.5564 (12/12/2025)
IDCW-Monthly10.1766 (12/12/2025)
IDCW-Weekly10.2225 (12/12/2025)
IDCW-Daily10.2068 (12/12/2025)

Asset Allocation

Holding DateValue (` Cr.)
30/11/202510088.90
15/11/20259873.11
31/10/20259871.58
15/10/20259362.46
30/09/20259184.28

Mutual Fund

One Lodha Place, 22 & 23 Floor, Senapati Bapat Marg, Lower Parel,, Mumbai, Maharashtra, India - 400013
Email : customerservice@axismf.com
Web : https://www.axismf.com

Registrar

KFin Technologies Limited
DOW Jones45473.550.16%
Nasdaq21794.160.43%
S&P 5006496.040.22%
Nikkei 22543643.811.45%
Hang Seng25633.910.85%
Shanghai Composite3826.840.38%
Straits Times4308.520.03%
FTSE 1009204.48-0.04%
Sensex85267.660.53%
NSE Index26046.950.57%
BSE 1000 11040.150.71%
BSE 100LCTMC9583.110.61%
BSE Auto 61846.660.50%
BSE BasicMat7817.291.84%
BSE Bharat228930.20.90%
BSE CDGSI 9856.680.75%
BSE CPSE 3697.990.81%

Commodity

Gold1282210.61%
Silver1782361.53%
Copper820.15101.12%
Crude Oil64130.66%
Lead192.443.15%
Mentha Oil1067.40.96%
Nickel2480223.38%

Currency

USD/INR 90.39(0.02 %)
GBP/INR 121.06(0.23 %)
EUR/INR 106.08(0.45 %)
JPY/INR 0.58(0.20 %)
CAD/INR 65.60(0.00 %)
HKD/INR 11.61(0.00 %)