Mutual Funds

Axis Short Duration Fund - Direct Plan - Growth Option

Axis Mutual FundShort DurationLow Risk
₹36.07+0.01 (+0.02%)

NAV as on 2026-07-17 · Debt · Short Duration

AUM

₹8,183 Cr

1Y Return

+6.1%

3Y CAGR

+7.9%

5Y CAGR

+6.9%

Expense

0.37%

Risk

Low

Axis Short Duration Fund
₹36.07+0.02%

1Y Return

+6.1%

3Y CAGR

+7.9%

5Y CAGR

+6.9%

Since Inception

+8.1%

AI Fund Analysis

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NAV History

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52-Week NAV Range

₹34.01
₹36.13

97% from 52W low

Fund Information

Short DurationDebtSince 02-01-2013

Fund House

Axis Mutual Fund

Category

Debt - Short Duration

Min SIP

₹500

Min Lumpsum

₹5,000

Portfolio Composition

Asset Allocation

Cash6.0%
Other0.4%

Market Cap Split

Top Holdings

127 stocks
Weight1M Change
1

Small Industries Development Bank Of India

7.85%-7.2%
2

Power Finance Corporation Limited

6.72%-9.4%
3

National Bank For Agriculture And Rural Development

5.33%-16.5%
4

Net Receivables

4.11%0.0%
5

Tata Capital Housing Finance Limited

3.73%-1.7%
6

Nuclear Power Corporation Of India Limited

3.71%+20.0%
7

Godrej Seeds & Genetics Limited

3.47%0.0%
8

Indian Railway Finance Corporation Limited

3.36%+33.2%
9

Muthoot Finance Limited

3.15%-5.5%
10

6.48% Govt Stock 2035

2.89%+100.0%

Risk Metrics (3Y)

Sharpe Ratio

1.11

Cat avg: 0.46

Sortino Ratio

2.32

Cat avg: 0.94

Beta

1.18

Cat avg: 1.19

Std Deviation

1.28%

Cat avg: 1.57%

Peer Comparison

FundAUM (Cr)Exp %1Y3Y5Y
Axis Short Duration Dir Gr8,1830.37+6.1%+7.9%+6.9%
ICICI Pru Short Term Dir Gr19,1750.38+6.3%+8.0%+7.3%
HDFC S/T Debt Dir Gr15,0080.39+5.8%+7.7%+6.7%
Kotak Bond S/T Dir Gr14,3600.39+5.4%+7.6%+6.6%
SBI Short Term Debt Dir Gr13,9760.42+5.5%+7.5%+6.5%
Bandhan Short Duration Dir Gr8,8890.29+6.0%+7.8%+6.5%
Nippon India Short Dur Dir Gr7,0400.32+5.8%+7.8%+6.8%
Aditya BSL Short Term Dir Gr5,7930.30+6.0%+7.8%+7.0%
HSBC Short Duration Dir Gr4,2100.27+5.4%+7.4%+6.2%
DSP S/T Dir Gr3,5490.30+5.3%+7.4%+6.3%

What If I Had Invested?

NAV history not available for this range

Key Metrics

AUM₹8,183 Cr
Expense Ratio0.37%
Volatility (3Y)1.3%
Sharpe Ratio1.11
Sortino Ratio2.32
Beta1.18
Min SIP₹500
Min Lumpsum₹5,000
Holdings190

Risk-o-Meter

Low

Moderate

High

Very High

Rated as Low risk

Disclaimer: Mutual fund investments are subject to market risks. Read all scheme related documents carefully. Past performance is not indicative of future returns. NAV data sourced from AMFI. This is not SEBI-registered investment advice.