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                                  | Axis Liquid Fund (D) IDCW | 
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                                     | [Debt: Liquid] | 
                                     
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                                | Fund Details | 
                               
                              
                                | Fund Type | 
                                
                                Dividend | 
                                Launch Date | 
                                16 Oct 2009 | 
                               
                              
                                | Corpus(Cr.) | 
                                37122.0 | 
                                Scheme NAV | 
                                1001.4 | 
                               
                              
                                | Equity(%) | 
                                0.0 | 
                                52 Week High | 
                                - | 
                               
                              
                                | Debt(%) | 
                                99.75 | 
                                52 Week Low | 
                                - | 
                               
                              
                                | Others(%) | 
                                0.25 | 
                                Exit Load | 
                                Exit load of 0.0070% if redeemed within 1 day 0.0065% if redeemed within 2 days 0.0060% if redeemed within 3 days 0.0055% if redeemed within 4 days 0.0050% if redeemed within 5 days 0.0045% if redeemed within 6 days. | 
                               
                              
                                | Minimum Investment | 
                                - | 
                                Availability | 
                                
                                Open | 
                               
                              
                                | Entry Load | 
                                - | 
                                Expense Ratio(%) | 
                                0.25 | 
                               
                              
                                | Scheme Benchmark | 
                                CCIL T Bill Liquidity Weight | 
                                Broader Benchmark | 
                                CCIL T Bill Liquidity Weight | 
                               
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                            | Scheme Objective | 
                           
                          
                            | The fund seeks to generate reasonable return commensurate with low risk and high degree of liquidity from a portfolio of money market and high quality debt securities. | 
                           
                          
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                                  | Last 10 Dividends | 
                                   
                                
                                  | Date of Dividend Declaration | 
                                  Dividend (Individual) Per Unit(Rs.) | 
                                  Dividend (Corporate) Per Unit(Rs.) | 
                                      
                                
| 04-09-2025 | 
0.15 | 
0.14 | 
 
| 03-09-2025 | 
0.16 | 
0.14 | 
 
| 02-09-2025 | 
0.13 | 
0.12 | 
 
| 01-09-2025 | 
0.15 | 
0.14 | 
 
| 14-08-2025 | 
0.17 | 
0.16 | 
 
| 13-08-2025 | 
0.17 | 
0.16 | 
 
| 12-08-2025 | 
0.16 | 
0.15 | 
 
| 11-08-2025 | 
0.14 | 
0.13 | 
 
| 10-08-2025 | 
0.15 | 
0.14 | 
 
| 09-08-2025 | 
0.15 | 
0.14 | 
 
                                 
                                
                                
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