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Axis Mutual Fund

Axis US Specific Treasury Dynamic Debt Passive FOF

Axis Mutual Fund · Direct plan · Growth

1-year returns
6.2%
NAV
₹12.04
▼ 0.44% · 18 Sept 2026
Fund size
₹39 Cr
Expense ratio
0.09%
a year

Figures are for the Direct plan. The Regular plan, bought through a distributor, is at ₹12.02 and has returned 6.11% over a year.

Returns, and where it stands

Against the average fund of funds (overseas), and its place among them. Anything longer than a year is a yearly rate.

PeriodThis fundCategoryRank
1 year6.2%23.9%behind44 of 48
Every period, and the Regular plan →
PeriodDirectRegular
1 month-1.7%-1.7%
3 months-1.2%-1.2%
6 months0.2%0.1%
1 year6.2%6.1%
2 yearsp.a.6.5%6.5%

Figures are for the Direct plan, and the rank compares it against the same plan of its peers, best first. Based on NAV history from Dec 2023.

Plan

NAV history

▲ 6.16% in the last 1Y

11.311.912.418 Sept 202518 Mar 202618 Sept 2026

Hover or tap the chart for the NAV on any date. Past NAVs are adjusted for unit splits.

If you had invested in this fund

Investment type
years
Total invested
₹1,20,000
Gain
₹9,124
XIRR (per year)
7.24%
Value today
₹1,29,124

24 monthly instalments from 20 Sept 2024, valued at the latest NAV. Past returns do not guarantee future returns.

What the ride has been like

Worked out from this fund's own NAV history, not a rating.

How bumpy
6.9% a year
11.2% less than the category average — the steadier side
Worst fall so far
−4.9%
Sept 2024 to Nov 2024.
Years that made money
100%
Of every one-year stretch it has been through.

Fund details

Minimum top-up
₹100
Lock-in
None
Plan started
22 Dec 2023
Expense ratio
0.09%
as of 31 Jul 2026

Managed by Krishnaa N

Direct plan figures, last checked on 20 Sept 2026. Exit load and the scheme's benchmark are in thescheme document.

How it compares

Axis US Specific Treasury Dynamic Debt Passive FOF against other funds in the Fund of Funds (Overseas) category
Fund1Y3Y5YExpenseFund size
DSP World Gold Mining Overseas Equity Omni FoF57.46%56.87%31.69%2.61%₹1,828 Cr
Mirae Asset Global X Artificial Intelligence & Technology ETF Fund of Fund42.68%38.19%0.69%₹480 Cr
ICICI Prudential Strategic Metal and Energy Equity Fund of Fund65.43%35.15%0.98%₹328 Cr
Navi NASDAQ100 US Specific Equity Passive FOF31.85%31.11%0.16%₹1,252 Cr
Kotak US Specific Equity Passive FOF30.42%30.61%20.25%0.64%₹4,542 Cr
Invesco India - Invesco EQQQ Nasdaq-100 ETF Fund of Fund30.39%30.44%0.4%₹469 Cr
Axis US Specific Treasury Dynamic Debt Passive FOF6.16%0.09%₹39 Cr

About Axis US Specific Treasury Dynamic Debt Passive FOF

Axis US Specific Treasury Dynamic Debt Passive FOF is a fund of funds (overseas) managed by Axis Mutual Fund. Fund of funds that invest in international mutual funds or ETFs, giving exposure to markets such as the US.

The primary investment objective of the Scheme is to provide regular income by investing in units of overseas ETFs where the investment mandate is to invest in US treasury securities across duration. However, there can be no assurance that the investment objective of the Scheme will be achieved.

The scheme's stated objective, as published by Axis Mutual Fund.

The NAV (net asset value) is the price of one unit of the fund. It is published by the fund house every business day and changes with the value of the fund's holdings. The Growth option reinvests all gains, so its NAV reflects the fund's total return.

Tax on your gains

How gains are taxed depends on what the scheme holds — equity, debt, gold or units of other funds each follow different rules. The scheme document states which applies.

Work out what you would owe with the capital gains tax calculator.

Every plan and option, with scheme codes
PlanOptionNAVScheme code
DirectGrowth Option₹12.0402152240
DirectIDCW Option₹12.0391152241
RegularGrowth Option₹12.0237152239
RegularIDCW Option₹12.0237152238

Frequently asked questions

What is the NAV of Axis US Specific Treasury Dynamic Debt Passive FOF today?

The NAV of Axis US Specific Treasury Dynamic Debt Passive FOF (Direct plan, Growth) is ₹12.0402 and the Regular plan NAV is ₹12.0237, as of 18 Sept 2026.

What returns has Axis US Specific Treasury Dynamic Debt Passive FOF given?

Over the last year the Direct plan returned 6.16%. Past returns do not guarantee future returns.

What is the expense ratio of Axis US Specific Treasury Dynamic Debt Passive FOF?

The Direct plan charges 0.09% a year, as disclosed on 31 Jul 2026. The fee is already taken out of the NAV, so the returns above are what you keep.

How much has Axis US Specific Treasury Dynamic Debt Passive FOF fallen in the past?

Its deepest fall was 4.9% from 16 Sept 2024 to 6 Nov 2024. Of every one-year stretch in its history, 100% ended in a gain.

Which category does Axis US Specific Treasury Dynamic Debt Passive FOF belong to?

It is a Fund of Funds (Overseas) from Axis Mutual Fund. Fund of funds that invest in international mutual funds or ETFs, giving exposure to markets such as the US.

What is the difference between the Direct and Regular plan?

Both invest in the same portfolio. The Direct plan is bought straight from the fund house or a direct platform and has a lower expense ratio because no distributor commission is paid, so its NAV grows slightly faster over time.

How are gains from Axis US Specific Treasury Dynamic Debt Passive FOF taxed?

How gains are taxed depends on what the scheme holds — equity, debt, gold or units of other funds each follow different rules. The scheme document states which applies.

Source: NAVs published by the fund house through AMFI. Mutual fund investments are subject to market risks; read all scheme-related documents carefully. Past performance does not guarantee future returns. This page is for information only and is not a recommendation to buy or sell.