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Axis Mutual Fund - Fund Manager

Aditya Pagaria

Aditya Pagaria

Qualification: PGDBM. Experience:Axis Asset Management Company Ltd. (Fund Manager - Fixed Income) - (August 1, 2016 till date) ICICI Prudential Asset Management Company Ltd. (Fund Manager - Fixed Income) - (Nov. 30, 2011 - July 26, 2016) He is associated with ICICI Prudential AMC from may 2007, Prior to working in Dealing function , he was handling NAV ad fund accounting related functions.

Fund Name
Classification
Fund AUM (Cr.)
AXIS Liquid Fund - Retail (G)
Debt: Liquid
21837.4
AXIS Treasury Advantage Fund (G)
Debt: Low Duration
4820.43
AXIS Treasury Advantage Fund - Retail (G)
Debt: Low Duration
4820.43
AXIS Short Term Fund (G)
Debt: Short Duration
7589.29
AXIS Short Term Fund - Retail (G)
Debt: Short Duration
7589.29
AXIS Gold Fund (G)
Other: FoFs Domestic
374.5
AXIS Banking & PSU Debt Fund (G)
Debt: Banking and PSU
14138.47
AXIS Equity Hybrid Fund - Regular (G)
Hybrid: Aggressive Hybrid
1651.83
AXIS Overnight Fund - Regular (G)
Debt: Overnight
8564.17
AXIS Money Market Fund - Regular (G)
Debt: Money Market
6652.02
Top Holdings - ConsoloidatedWts(%)
Clearing Corporation of India Ltd12.14%
CD CANARA BANK2.35%
Punjab National Bank1.83%
91 Days Tbill (MD 15/02/2024)1.34%
91 Days Tbill (MD 01/02/2024)1.27%
Fund Name1M3M6M1Y3Y5YSince Inception
AXIS Liquid Fund - Retail (G)
0.6%
1.67%
3.26%
6.57%
4.62%
4.71%
6.57%
AXIS Treasury Advantage Fund (G)
0.68%
1.75%
3.29%
7.1%
5.16%
6.22%
7.4%
AXIS Treasury Advantage Fund - Retail (G)
0.68%
1.75%
3.29%
7.1%
5.16%
6.26%
7.12%
AXIS Short Term Fund (G)
0.66%
2.02%
3.08%
6.8%
4.83%
6.72%
7.48%
AXIS Short Term Fund - Retail (G)
0.66%
2.02%
3.08%
6.79%
4.83%
6.73%
7.45%
AXIS Gold Fund (G)
-0.35%
4.39%
3.84%
8.68%
6.91%
12.84%
5.21%
AXIS Banking & PSU Debt Fund (G)
0.65%
1.75%
3.01%
6.52%
4.75%
6.69%
7.64%
AXIS Equity Hybrid Fund - Regular (G)
0.12%
5.05%
5.64%
14.74%
9.38%
11.94%
10.3%
AXIS Overnight Fund - Regular (G)
0.57%
1.69%
3.37%
6.7%
4.88%
N/A
4.64%
AXIS Money Market Fund - Regular (G)
0.69%
1.77%
3.47%
7.41%
5.37%
N/A
5.73%
Fund Performance