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Axis FTP-113-1228D(Q-IDCW)

IDCW
DebtFixed Maturity Plans
Small-size FundAssets Under Mgmt: ₹ 91 Cr
Moderately Low RiskPrinciple investment will be at moderately low risk
11.340.03% (+0.00)

Price Chart

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Returns
0.00%
1M
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Max
SIP
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1M
6M
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DebtFixed Maturity Plans
Small-size FundAssets Under Mgmt: ₹ 91 Cr
Moderately Low RiskPrinciple investment will be at moderately low risk

Key Metrics

Expense RatioExpense RatioNo LabelNo LabelNo LabelNo Label
7.71
No LabelNo LabelNo LabelNo LabelNo LabelNo Label
6.914.87

Scheme Info

PlanPlanLock inLock inExit LoadExit Load
IDCW0 yrs
SIP Inv.SIP Inv.Min. LumpsumMin. Lumpsum
Not allowedNot allowed
BenchmarkBenchmark
CRISIL Medium Duration Debt Index

About Fixed Maturity Plans

Fixed maturity plan funds are the debt funds. Investments in this funds can only be made during the new fund offering (NFO) as these funds are the close ended funds. They invest in debt instruments with the fixed maturity period.

Peers & Comparison

Comparing 3 mutual funds from 
DebtFixed Maturity Plans
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Mutual Fund1Y Returns1Y Returns3Y CAGR3Y CAGRLife CAGRLife CAGR
Axis FTP-113-1228D(Q-IDCW)8.04%7.62%
SBI FMP-41-1498D(IDCW)7.59%5.57%5.81%
DSP FMP 267-1246D(IDCW)8.22%7.66%
HDFC FMP-Sr 46-1861D-Mar 2022(IDCW)8.94%6.35%

Price Comparison

Compare Axis FTP-113-1228D(Q-IDCW) with any MF, ETF, stock or index
Compare Axis FTP-113-1228D(Q-IDCW) with any MF, ETF, stock or index
Axis FTP-113-1228D(Q-IDCW)
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Asset Allocation

Actual

Target

Mar 2024

Jun 2024

Sep 2024

Nov 2024

ACTUAL
Cash & EquivalentsCorporate Debt6.22%93.78%

Mar 2024

Jun 2024

Sep 2024

Nov 2024

Tickertape Separator

Sector Distribution

+3 moreHome FinancingOil & Gas - Refining & MarketingPower GenerationPublic BanksConsumer Finance14.38 %8.20 %9.81 %17.75 %19.56 %30.30 %

Mar 2024

Jun 2024

Sep 2024

Nov 2024

Tickertape Separator

Sector Weightage

Sep 23Dec 23Mar 24Jun 24Sep 24Nov 2432.30%31.74%31.19%31.20%30.66%30.30%
Consumer Finance as a % of total holdings for last six quarters
Tickertape Separator

Current Holdings

Debt

Others

  • Constituent
    Holding Weight
    3M Change
  • 7.4% Indian Railway Finance Corporation Limited (18/04/2026)
    CRISIL AAA
    3M change : -0.18 %|CRISIL AAA

    Holdings

    10.34 %

    -0.18 %
  • 7.58% Bharat Petroleum Corporation Limited (17/03/2026)
    CRISIL AAA
    3M change : 4.26 %|CRISIL AAA

    Holdings

    9.81 %

    4.26 %
  • 7.6% REC Limited (27/02/2026)
    CRISIL AAA
    3M change : -0.18 %|CRISIL AAA

    Holdings

    9.79 %

    -0.18 %

AMC Profile

Axis Asset Management Company Ltd. is the mutual fund investment wing of Axis Bank, the 3rd largest private bank in India. 74.99% share of the AMC is held by Axis Bank while the rest 24% is held by Schroder Singapore Holdings Private Limited.

  • No.of Schemes

    69

  • Total AUM

    ₹ 3,15,778.51 Cr.

Fund Manager Profile

Sachin Jain

AUM:  ₹78,576.30 Cr.

Sum of AUMs of all funds managed by the fund manager

 | 

Exp:

Aditya Pagaria

AUM:  ₹82,724.21 Cr.

Sum of AUMs of all funds managed by the fund manager

 | 

Exp:

Manager Performance (0)

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Tax Implications

Invested period < 2 years

Gains are added to taxable income and taxed according to the individual’s income tax slab

Invested period > 2 years(Investments from 1st April 2023)

Gains are added to taxable income and taxed according to the individual’s income tax slab

Invested period > 2 years(Investments before 1st April 2023)

Gains are treated as long-term capital gains and taxed at 12.5%

Let’s calculate your returns after tax

Investment frequency

Monthly

One Time

Monthly Investment Amt. (₹)

Investment period (years)

CAGR (%)
This CAGR is calculated based on the actual past return given by the fund during the selected investment period. This is the annualised growth rate assuming monthly compounding.
Annual Income
As per the tax implications, in some cases, tax on MF returns depends on your annual income slab

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