e.g. Tata motors, Reliance MF, 500570

Axis Liquid Fund - IDCW-Weekly

Debt Liquid Low to Moderate

NAV on (26 Aug 2026 )

₹1002.44

(+0.02%)

Fund Size

₹59733.82 Crores

1Y Returns

0.02 %

 
Earn 1% Higher Returns in Direct Funds on dhan Invest  Top Funds
Disclaimer: Mutual Fund investments are subject to market risks. Read all scheme related documents carefully before investing.

 

Investment Objective

To provide a high level of liquidity with reasonable returns commensurating with low risk through a portfolio of money market and debt securities.

AMC

Axis Asset Management Company Ltd.

Fund Details

Launch Date

October 8, 2009

Fund Manager

Mr. Devang Shah

Initial Price

1000

AUM Fund

59733.82 Cr

Min investment

Rs 100

Expense Ratio

0.21%

SIP Minimum Investment

Daily - Rs. 100/- and in multiples of Re 1/- thereafter. Minimum number of installments 6.Weekly - Rs. 100/- and in multiples of Re 1/- thereafter. Minimum number of installments 6.Monthly - Rs. 100/- and in multiples of Re 1/- thereafter. Minimum number of installments 6.

Exit Load

If redeemed/switched out within 1 day from the date of allotment: 0.0070% If redemption/switch out within 2 days from the date of allotment: 0.0065% If redemption/switch out within 3 days from the date of allotment: 0.0060% If redemption/switch out within 4 days from the date of allotment: 0.0055% If redemption/switch out within 5 days from the date of allotment: 0.0050% If redemption/switch out within 6 days from the date of allotment: 0.0045% If redemption/switch out 7 days onwards from the date of allotment: Nil.

1 Month

-0.07%

6 Months

-0.01%

1 Year

+0.02%

2 Years (CAGR)

+0.02%

3 Years (CAGR)

-0.02%

5 Years (CAGR)

+0.00%

Equity / Mid Cap funds 1Y 3Y Fund Size (Cr)
41.32% 41.38% ₹103297.05
29.36% 29.36% ₹460.3
19.10% 19.10% ₹460.3
7.37% 20.84% ₹1291.08
7.32% 22.72% ₹9129.96
Address
One Lodha Place, 22 & 23 Floor, Senapati Bapat Marg, Lower Parel, Mumbai Maharashtra India 400013
Phone
+91 22 66496100
Fax
+91 22 43255199
Launch Date
October 8, 2009
Custodian
Deutsche Bank A. G.
Registrar & Transfer Agent
KFin Technologies Limited

Frequently Asked Questions

Q: What is the current NAV of Axis Liquid Fund - IDCW-Weekly?

A: The latest NAV of Axis Liquid Fund - IDCW-Weekly is ₹ 1002.44 as on 26 Aug 2026.

Q: What type of mutual fund is Axis Liquid Fund - IDCW-Weekly?

A: Axis Liquid Fund - IDCW-Weekly is a 'Debt - Liquid' type mutual fund managed by 'Axis Asset Management Company Ltd.'.

Q: What is the expense ratio of Axis Liquid Fund - IDCW-Weekly?

A: The expense ratio of Axis Liquid Fund - IDCW-Weekly is 0.21%, which impacts overall returns.

Q: Who manages Axis Liquid Fund - IDCW-Weekly?

A: Axis Liquid Fund - IDCW-Weekly is managed by Mr. Devang Shah, who oversees investment strategy and portfolio decisions.

Q: Is Axis Liquid Fund - IDCW-Weekly a good investment?

A: Axis Liquid Fund - IDCW-Weekly may be suitable depending on your financial goals, risk appetite, and investment horizon. Always evaluate fund performance and consult a financial advisor.

Q: What is the exit load of Axis Liquid Fund - IDCW-Weekly?

A: The exit load of Axis Liquid Fund - IDCW-Weekly is If redeemed/switched out within 1 day from the date of allotment: 0.0070% If redemption/switch out within 2 days from the date of allotment: 0.0065% If redemption/switch out within 3 days from the date of allotment: 0.0060% If redemption/switch out within 4 days from the date of allotment: 0.0055% If redemption/switch out within 5 days from the date of allotment: 0.0050% If redemption/switch out within 6 days from the date of allotment: 0.0045% If redemption/switch out 7 days onwards from the date of allotment: Nil., applicable if redeemed within the specified period.

Q: How is Axis Liquid Fund - IDCW-Weekly taxed?

A: Taxation depends on the fund type (equity/debt) and holding period as per Indian tax laws.

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