Mutual Funds Historical Dividends of Axis Money Market Fund - Direct Plan - Quarterly IDCW

Category Launch Date Benchmark Expense Ratio AUM
Debt: Money Market 05-08-2019 NIFTY Money Market Index A-I 0.17%
As on (31-08-2025)
20,410.56 Cr
As on (29-08-2025)
Dividend Record Date Dividend ( / Unit) NAV () Dividend Yield (%)
25-09-2025 10.0000 1177.5161 0.85%
25-06-2025 10.0000 1169.51 0.86%
25-03-2025 10.0000 1151.8926 0.87%
26-12-2024 10.0000 1140.0375 0.88%
25-09-2024 10.0000 1129.3795 0.89%
25-06-2024 10.0000 1118.337 0.89%
26-03-2024 10.0000 1106.8581 0.90%
26-12-2023 10.0000 1095.4816 0.91%
25-09-2023 10.0000 1086.5697 0.92%
26-06-2023 10.0000 1077.9826 0.93%
27-03-2023 10.0000 1065.8643 0.94%
26-12-2022 10.0000 1057.5468 0.95%
26-09-2022 10.0000 1050.4542 0.95%
27-06-2022 10.0000 1047.3125 0.95%
25-03-2022 10.0000 1048.595 0.95%
27-12-2021 10.0000 1047.6275 0.95%
27-09-2021 10.0000 1048.4392 0.95%
25-06-2021 10.0000 1047.5451 0.95%
25-03-2021 10.0000 1047.0701 0.96%
28-12-2020 10.0000 1047.6457 0.95%
25-09-2020 10.0000 1046.1757 0.96%
25-06-2020 10.0000 1044.1294 0.96%
26-03-2020 7.2032 1017.1672 0.71%
26-12-2019 7.2032 1023.325 0.70%
25-09-2019 4.6821 1011.3531 0.46%