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Markets / Mutual funds / 112718 Axis Mutual Fund Axis Treasury Advantage Fund - Retail Plan - Monthly IDCW Debt Scheme - Low Duration Fund
Open Ended Other plan IDCW
Latest declared NAV₹1,013.7264 Effective 18 Aug 2026
Fund house Axis Mutual Fund
Scheme type Open Ended
Category Debt Scheme - Low Duration Fund
Plan Other
Option IDCW
Scheme code 112718
Growth / payout ISIN INF846K01511
Reinvestment ISIN INF846K01529
Source AMFI
NAV effective date 18 Aug 2026
Valuation basis End-of-day declared NAV; not an intraday exchange quote Same fund house and category Mutual-fund NAV is normally declared after the trading day. This page presents the connected official scheme record and does not manufacture intraday movement, chart history, performance or investment recommendations.