
Axis Floating Interest Rates Fund - Direct Plan - Quarterly IDCW Option
Axis Mutual Fund · Floater Fund · Direct · IDCW5/5 ★
NAV · as of 11/09/2026
1,345.47
1D
-0.10%1Y
+6.42%Key stats
- Expense ratio
- 0.23%
- AUM
- ₹124.30 Cr
- Launched
- 29/07/2021
- Fund manager
- Aditya Pagaria; Hardik Shah
- Risk
- High Risk
- Min lump-sum
- ₹5,000
- Min SIP
- ₹1,000/mo
- Fresh lump-sum
- Accepted
- Fresh SIP
- Accepted
NAV history
Axis Floating Interest Rates Fund - Direct Plan - Quarterly IDCW Option
12/08/2026 to 11/09/2026
O - H - L -
Top holdings
38 disclosed- 1.29.43%
Net Receivables / (Payables)
- 2.20.94%
Clearing Corporation Of India Ltd
- 3.12.15%
6.94% Govt Stock 2036
- 4.7.83%
HDFC Bank Limited
- 5.7.28%
7.34% Govt Stock 2064
- 6.4.47%
Jubilant Bevco Limited - NCD & Bonds - NCD & Bonds
- 7.4.46%
Jubilant Beverages Limited - NCD & Bonds - NCD & Bonds
- 8.4.18%
6.75% Govt Stock 2033
- 9.4.10%
State Government Of Bihar
- 10.4.10%
7.71% Govt Stock 2066
- 11.4.05%
Pipeline Infrastructure Limited - NCD & Bonds - NCD & Bonds
- 12.4.03%
India (Republic of) 7.06%
- 13.4.03%
Piramal Finance Limited - NCD & Bonds - NCD & Bonds
- 14.4.02%
360 One Prime Limited - NCD & Bonds - NCD & Bonds
- 15.4.02%
Cholamandalam Investment And Finance Company Limited - NCD & Bonds - NCD & Bonds
- 16.3.98%
Bajaj Housing Finance Limited - NCD & Bonds - NCD & Bonds
- 17.3.98%
Maharashtra SDL
- 18.3.97%
Indian Railway Finance Corporation Limited - NCD & Bonds - NCD & Bonds
- 19.3.97%
Muthoot Finance Limited - NCD & Bonds - NCD & Bonds
- 20.3.94%
Power Finance Corporation Limited - NCD & Bonds - NCD & Bonds
- 21.3.90%
Bank Of Baroda
- 22.3.87%
TATA Teleservices Limited - Commercial Paper - Commercial Paper
- 23.3.56%
Indus Infra Trust Unit
Financial Services
- 24.2.49%
Cube Highways Trust
Industrials
- 25.2.42%
Pipeline Infrastructure Limited - NCD & Bonds - NCD & Bonds
- 26.2.00%
Power Finance Corporation Limited - NCD & Bonds - NCD & Bonds
- 27.1.10%
Sbi - Corporate Debt Market Development Fund (Cdmdf) - Class A2
- 28.0.56%
Citius TransNet Investment Trust
Financial Services
- 29.0.01%
Interest Rate Swaps Pay Fix Receive Floating -Hsbc Bank (30/04/2027) (Fv 50
- 30.0.00%
6.48% Govt Stock 2035
- 31.0.00%
Interest Rate Swaps Pay Fix Receive Floating -Ccil (20/09/2026) (Fv 1000 La
- 32.0.00%
Interest Rate Swaps Pay Fix Receive Floating -Icisecpd (17/10/2026) (Fv 100
- 33.0.00%
Interest Rate Swaps Pay Fix Receive Floating -Ccil (16/08/2026) (Fv 1500 La
- 34.0.00%
Interest Rate Swaps Pay Fix Receive Floating -Icici Bank (17/10/2026) (Fv 1
- 35.0.00%
Interest Rate Swaps Pay Fix Receive Floating -Dbs (16/08/2026) (Fv 1000 Lac
- 36.0.00%
Interest Rate Swaps Pay Fix Receive Floating -Idfc Bank (20/09/2026) (Fv 10
- 37.-
Bank Of Baroda
- 38.-
HDFC Bank Ltd. - NCD & Bonds - NCD & Bonds
Sector allocation
- Unclassified152.24%
- Financial Services4.13%
- Industrials2.49%
Comparable peers
Axis Floating Interest Rates Monthly IDCW Payout Direct Plan
Axis Floating Interest Rates Monthly IDCW Payout (DP) · ₹124.30 Cr AUM
1Y+7.50%3Y+8.39%-Axis Floating Interest Rates Monthly IDCW Reinvest Direct Plan
Axis Floating Interest Rates Monthly IDCW Reinvest (DR) · ₹124.30 Cr AUM
1Y+7.50%3Y+8.39%-Axis Floating Interest Rates Annual IDCW Reinvest Direct Plan
Axis Floating Interest Rates Annual IDCW Reinvest (DR) · ₹124.30 Cr AUM
1Y+7.50%3Y+8.39%-Axis Floating Interest Rates Annual IDCW Payout Direct Plan
Axis Floating Interest Rates Annual IDCW Payout (DP) · ₹124.30 Cr AUM
1Y+7.50%3Y+8.39%-Axis Floating Interest Rates Quarterly IDCW Reinvest Direct Plan
Axis Floating Interest Rates Quarterly IDCW Reinvest (DR) · ₹124.30 Cr AUM
1Y+7.50%3Y+8.39%-
Investment objective
To generate regular income through investment in a portfolio comprising predominantly of floating rate instruments and fixed rate instruments swapped for floating rate returns. The Scheme may also invest a portion of its net assets in fixed rate debt and money market instruments. However, there can be no assurance or guarantee that the investment objective of the scheme would be achieved.
Scheme details
- Scheme code
- 149052
- Fund house
- Axis Mutual Fund
- Category
- Open Ended
- Type
- Income/Debt Oriented Schemes
- Sub-category
- Floater Fund
- Plan
- Direct
- Return type
- IDCW
- ISIN (Growth)
- INF846K019A5
- ISIN (Div. Reinvest)
- INF846K010B2
- Tradable on exchange
- No