21 November, 2019 17:13 IST
Myiris.com - Axis Treasury Advantage Fund - Axis Mutual Fund - Dividend History
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Axis Treasury Advantage Fund  NAV Rs.2206.6864
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Dividend History of schemes of Axis Mutual Fund
No. Scheme Name Date Div*
1 Axis Treasury Advantage Fund - Daily Dividend 19-Jan-15 0.451069
2 Axis Treasury Advantage Fund - Daily Dividend 23-Mar-10 0.112273
3 Axis Treasury Advantage Fund - Daily Dividend 22-Mar-10 0.319192
4 Axis Treasury Advantage Fund - Daily Dividend 19-Mar-10 0.106423
5 Axis Treasury Advantage Fund - Daily Dividend 18-Mar-10 0.102273
6 Axis Treasury Advantage Fund - Daily Dividend 17-Mar-10 0.206503
7 Axis Treasury Advantage Fund - Daily Dividend 15-Mar-10 0.305452
8 Axis Treasury Advantage Fund - Daily Dividend 12-Mar-10 0.101819
9 Axis Treasury Advantage Fund - Daily Dividend 11-Mar-10 0.101379
10 Axis Treasury Advantage Fund - Daily Dividend 10-Mar-10 0.099698
11 Axis Treasury Advantage Fund - Daily Dividend 09-Mar-10 0.099588
12 Axis Treasury Advantage Fund - Daily Dividend 08-Mar-10 0.297546
13 Axis Treasury Advantage Fund - Daily Dividend 05-Mar-10 0.099953
14 Axis Treasury Advantage Fund - Daily Dividend 04-Mar-10 0.098032
15 Axis Treasury Advantage Fund - Daily Dividend 03-Mar-10 0.098236
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* Dividend in Rs. per unit .




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