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Axis Debt Funds

Updated June 2026 · 21 active funds · data from AMFI NAVs

Axis runs 21 debt mutual fund schemes tracked on FindMF. The table below ranks them on trailing return, alongside risk metrics and real expense ratios computed independently from AMFI NAVs. Use it to compare Axis's debt line-up like for like - it is analysis, not advice. For how every debt fund in India compares, see the full category page.

68% of the 19 funds here with a computed alpha beat their benchmark over the measured window (positive alpha). Past performance is not indicative; this is analysis, not advice.

#Scheme1Y3Y5YSharpeMax DDTERAUM
1Axis Credit Risk Fund
Axis
+7.85%+8.59%+7.54%0.23-0.9%0.82%₹362 Cr
2Axis Strategic Bond Fund
Axis
+6.27%+8.22%+7.29%0.01-1.2%0.71%₹2.1K Cr
3Axis Floater Fund
Axis
+5.06%+7.99%--0.13-1.3%0.31%₹150 Cr
4Axis Corporate Bond Fund
Axis
+5.27%+7.75%+6.72%-0.46-0.9%0.37%₹8.7K Cr
5Axis Short Duration Fund
Axis
+5.68%+7.73%+6.72%-0.50-0.8%0.47%₹11.4K Cr
6Axis Treasury Advantage Fund
Axis
+6.14%+7.44%+6.52%--0.4%0.49%₹6.9K Cr
7Axis Ultra Short Duration Fund
Axis
+6.44%+7.41%+6.57%--0.2%0.39%₹5.7K Cr
8Axis Money Market Fund
Axis
+6.13%+7.40%+6.54%--0.2%0.17%₹22.3K Cr
9Axis Fixed Term Plan - Series 113 (1228 Days)
Axis
+6.34%+7.27%---0.2%0.13%₹100 Cr
10Axis Short Duration Fund - Retail
Axis
+5.12%+7.14%+6.09%-1.02-0.9%0.47%₹1 Cr
11Axis Fixed Term Plan - Series 112 (1143 Days)
Axis
+6.04%+7.13%---0.2%-₹82 Cr
12Axis Dynamic Bond Fund
Axis
+4.58%+7.11%+6.04%-0.43-3.2%0.35%₹1.1K Cr
13Axis Treasury Advantage Fund - Retail
Axis
+5.78%+7.09%+6.18%--0.4%0.49%₹2 Cr
14Axis Banking & PSU Debt Fund
Axis
+4.86%+7.06%+6.11%-1.10-0.5%0.35%₹13.0K Cr
15Axis Liquid Fund
Axis
+6.32%+7.03%+6.22%--0.0%0.13%₹42.9K Cr
16Axis Gilt Fund
Axis
+2.73%+7.02%+5.98%-0.44-3.0%0.46%₹608 Cr
17Axis Liquid Fund - Retail
Axis
+5.70%+6.40%+5.61%--0.0%0.13%₹0 Cr
18Axis Overnight Fund
Axis
+5.37%+6.24%+5.64%-0.0%0.09%₹12.8K Cr
19Axis Long Duration Fund
Axis
+0.11%+5.63%--0.17-5.6%0.33%₹254 Cr

Ranked by trailing return (3Y where available, else 1Y) on funds with at least one year of history. Returns, Sharpe, drawdown and TER are computed independently from AMFI NAVs - see methodology. No paid placement.

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