Debt-Scheme (29)
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BSE lists units of Axis Fixed Maturity Plan - Series 129 (108 Days) Direct IDCW Payout under Axis Mutual Fund in the 'F' Group, effective … | |||||||||||||||
BSE lists units of Axis Fixed Maturity Plan - Series 129 (108 Days) Direct IDCW Payout under Axis Mutual Fund in the 'F' Group, effective March 2, 2026. The close-ended debt scheme has 39,989 units with scrip code 544712.
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BSE lists units of Axis Fixed Maturity Plan - Series 129 (108 Days) Direct IDCW Payout under Axis Mutual Fund in Group F segment, effective … | |||||||||||||||
BSE lists units of Axis Fixed Maturity Plan - Series 129 (108 Days) Direct IDCW Payout under Axis Mutual Fund in Group F segment, effective March 2, 2026. The scheme is a close-ended debt scheme with relatively low interest rate risk and moderate credit risk.
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BSE lists units of Axis Fixed Maturity Plan - Series 129 (108 Days) Regular IDCW Payout under Axis Mutual Fund in the 'F' Group, effective … | |||||||||||||||
BSE lists units of Axis Fixed Maturity Plan - Series 129 (108 Days) Regular IDCW Payout under Axis Mutual Fund in the 'F' Group, effective March 2, 2026. Scrip code 544715 with 55,984 units at face value Rs. 10.00 per unit.
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BSE announces listing of Axis Fixed Maturity Plan - Series 129 (108 Days) Direct Growth units effective March 2, 2026, under Group F on the … | |||||||||||||||
BSE announces listing of Axis Fixed Maturity Plan - Series 129 (108 Days) Direct Growth units effective March 2, 2026, under Group F on the Exchange.
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BSE lists units of Axis Fixed Maturity Plan - Series 129 (108 Days) Direct Growth under Axis Mutual Fund in the 'F' Group, effective March … | |||||||||||||||
BSE lists units of Axis Fixed Maturity Plan - Series 129 (108 Days) Direct Growth under Axis Mutual Fund in the 'F' Group, effective March 2, 2026. The close-ended debt scheme has 303,908,447 units with scrip code 544713 and ISIN INF846KA1440.
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BSE announces listing of Axis Fixed Maturity Plan - Series 129 (108 Days) Direct Growth units under Axis Mutual Fund in Group F, effective … | |||||||||||||||
BSE announces listing of Axis Fixed Maturity Plan - Series 129 (108 Days) Direct Growth units under Axis Mutual Fund in Group F, effective March 2, 2026. The close-ended debt scheme has 303,908,447 units with scrip code 544713.
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BSE announces listing of Axis Fixed Maturity Plan - Series 129 (108 Days) Direct IDCW Payout units effective March 2, 2026, under Group F … | |||||||||||||||
BSE announces listing of Axis Fixed Maturity Plan - Series 129 (108 Days) Direct IDCW Payout units effective March 2, 2026, under Group F with scrip code 544712.
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BSE announces listing of units of Axis Fixed Maturity Plan - Series 129 (108 Days) Regular Growth under Axis Mutual Fund, effective March 2, … | |||||||||||||||
BSE announces listing of units of Axis Fixed Maturity Plan - Series 129 (108 Days) Regular Growth under Axis Mutual Fund, effective March 2, 2026, in the 'F' Group on the Exchange.
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BSE lists units of Axis Fixed Maturity Plan - Series 129 (108 Days) Regular Growth under Axis Mutual Fund in the 'F' Group, effective March … | |||||||||||||||
BSE lists units of Axis Fixed Maturity Plan - Series 129 (108 Days) Regular Growth under Axis Mutual Fund in the 'F' Group, effective March 2, 2026. The close-ended debt scheme carries relatively low interest rate risk and moderate credit risk.
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BSE lists units of Axis Fixed Maturity Plan - Series 129 (108 Days) Regular IDCW Payout under Axis Mutual Fund in Group F, effective March … | |||||||||||||||
BSE lists units of Axis Fixed Maturity Plan - Series 129 (108 Days) Regular IDCW Payout under Axis Mutual Fund in Group F, effective March 2, 2026. The close-ended debt scheme with 55,984 units is assigned scrip code 544715.
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