Average AUM by Fund

 - 
AUM in Crores
AMC Name Fund Name Dec 2024 Mar 2025 Change Change %
Axis Asset Management Company Limited Axis Aggresive Hybrid Fund Dir Gr 96.09 91.63 -4.46 -4.64
Axis Asset Management Company Limited Axis Aggresive Hybrid Fund Dir IDCW-P 0.83 0.78 -0.05 -6.02
Axis Asset Management Company Limited Axis Aggresive Hybrid Fund Dir Mn IDCW-P 2.27 2.17 -0.10 -4.41
Axis Asset Management Company Limited Axis Aggresive Hybrid Fund Dir Qt IDCW-P 0.69 0.65 -0.04 -5.80
Axis Asset Management Company Limited Axis Aggresive Hybrid Fund Reg Gr 1477.98 1376.44 -101.54 -6.87
Axis Asset Management Company Limited Axis Aggresive Hybrid Fund Reg IDCW-P 9.78 9.26 -0.52 -5.32
Axis Asset Management Company Limited Axis Aggresive Hybrid Fund Reg Qt IDCW-P 5.01 4.23 -0.78 -15.57
Axis Asset Management Company Limited Axis Aggressive Hybrid Fund Reg MnIDCW-P 29.07 - - -
Axis Asset Management Company Limited Axis Arbitrage Dir Gr 3954.91 4258.34 303.43 7.67
Axis Asset Management Company Limited Axis Arbitrage Dir Mntly IDCW-P 2.73 2.53 -0.20 -7.33
Axis Asset Management Company Limited Axis Arbitrage Reg Gr 1651.55 1573.24 -78.31 -4.74
Axis Asset Management Company Limited Axis Arbitrage Reg Mntly IDCW-P 8.71 8.10 -0.61 -7.00
Axis Asset Management Company Limited Axis Balanced Advantage Dir Gr 215.64 224.05 8.41 3.90
Axis Asset Management Company Limited Axis Balanced Advantage Dir IDCW-P 2.72 2.56 -0.16 -5.88
Axis Asset Management Company Limited Axis Balanced Advantage Reg Gr 2330.29 2406.19 75.90 3.26
Axis Asset Management Company Limited Axis Balanced Advantage Reg IDCW-P 35.78 36.71 0.93 2.60
Axis Asset Management Company Limited Axis Banking & PSU Debt Dir Dl IDCW-R 0.93 1.95 1.02 109.68
Axis Asset Management Company Limited Axis Banking & PSU Debt Dir Gr 9217.47 9239.51 22.04 0.24
Axis Asset Management Company Limited Axis Banking & PSU Debt Dir Mn IDCW-P 9.59 3.88 -5.71 -59.54
Axis Asset Management Company Limited Axis Banking & PSU Debt Dir Wk IDCW-P 0.91 0.92 0.01 1.10
* Note : Quarter End Average AUM. Rounded to two decimal places. Source: AMFI
Total Results: 371

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