IN ISIN DATABASE
Isin | Name, Description | Nominal |
---|---|---|
INF846K01EI1 | AXIS STDP GROWTH AXIS AMC LTD#AXIS MUTUAL FUND-AXIS SHORT TERM FUND - DIRECT PLAN - GROWTH | 10.0000 |
INF846K01EJ9 | AXIS STDP MDIVPAY AXIS AMC LTD#AXIS MUTUAL FUND-AXIS SHORT TERM FUND - DIRECT PLAN - MONTHLY DIVIDEND PAYOUT | 10.0000 |
INF846K01EK7 | AXIS STDP MDIVRINV AXIS AMC LTD#AXIS MUTUAL FUND-AXIS SHORT TERM FUND - DIRECT PLAN - MONTHLY DIVIDEND REINVESTMENT | 10.0000 |
INF846K01EL5 | AXIS STDP RDIVPAY AXIS AMC LTD#AXIS MUTUAL FUND-AXIS SHORT TERM FUND - DIRECT PLAN - REGULAR DIVIDEND PAYOUT | 10.0000 |
INF846K01EM3 | AXIS STDP RDIVRINV AXIS AMC LTD#AXIS MUTUAL FUND-AXIS SHORT TERM FUND - DIRECT PLAN - REGULAR DIVIDEND REINVESTMENT | 10.0000 |
INF846K01644 | AXIS STF GROWTH AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS SHORT TERM FUND-GROWTH | 10.0000 |
INF846K01651 | AXIS STF M-DV-POUT AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS SHORT TERM FUND-MONTHLY DIVIDEND PAYOUT | 10.0000 |
INF846K01669 | AXIS STF M-DV-RINV AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS SHORT TERM FUND-MONTHLY DIV RINV | 10.0000 |
INF846K01677 | AXIS STF R-DV-POUT AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS SHORT TERM FUND-REGULAR DIVIDEND PAYOUT | 10.0000 |
INF846K01685 | AXIS STF R-DV-RINV AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS SHORT TERM FUND-REGULAR DIV RINV | 10.0000 |
INF846K01594 | AXIS STF R-GROWTH AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS SHORT TERM FUND-RETAIL-GROWTH | 10.0000 |
INF846K01602 | AXIS STF R-M-DV POUT AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS SHORT TERM FUND-RETAIL MONTHLY DIVIDEND PAYOUT | 10.0000 |
INF846K01610 | AXIS STF R-M-DV RINV AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS SHORT TERM FUND-RETAIL MONTHLY DIVIDEND REINVESTMENT | 10.0000 |
INF846K01628 | AXIS STF R-R-DV POUT AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS SHORT TERM FUND-RETAIL REGULAR DIVIDEND PAYOUT | 10.0000 |
INF846K01636 | AXIS STF R-R-DV RINV AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS SHORT TERM FUND-RETAIL REGULAR DIVIDEND REINVESTMENT | 10.0000 |
INF846K01545 | AXIS TAF D-DIV IN AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS TREASURY ADVANTAGE FUND-DAILY DIV RINV | 10.0000 |
INF846K01537 | AXIS TAF GROWTH AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS TREASURY ADVANTAGE FUND-GROWTH | 10.0000 |
INF846K01578 | AXIS TAF M-DV POUT AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS TREASURY ADVANTAGE FUND-MONTHLY-DIV POUT | 10.0000 |
INF846K01586 | AXIS TAF M-DV RINV AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS TREASURY ADVANTAGE FUND-MONTHLY-DIV RINV | 10.0000 |
INF846K01487 | AXIS TAF R-D-DV RINV AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS TREASURY ADVANTAGE FUND-RETAIL-DAILY DIVIDEND REINVEST | 10.0000 |
INF846K01479 | AXIS TAF R-GROWTH AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS TREASURY ADVANTAGE FUND-RETAIL-GROWTH | 10.0000 |
INF846K01511 | AXIS TAF R-M-DV POUT AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS TREASURY ADVANTAGE FUND-RETAIL-MONTHLY DIVIDEND PAYOUT | 10.0000 |
INF846K01529 | AXIS TAF R-M-DV RINV AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS TREASURY ADVANTAGE FUND-RETAIL-MONTHLY DIVIDEND REINVEST | 10.0000 |
INF846K01495 | AXIS TAF R-W-DV POUT AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS TREASURY ADVANTAGE FUND-RETAIL-WEEKLY DIVIDEND PAYOUT | 10.0000 |
INF846K01503 | AXIS TAF R-W-DV RINV AXIS ASSET MANAGEMENT COMPANY LIMITED-AXIS TREASURY ADVANTAGE FUND-RETAIL-WEEKLY DIVIDEND REINVEST | 10.0000 |
Time: May 11, 2025, 7:06 p.m.
London time: | May 11, 2025, 11:06 a.m. |
NY time: | May 11, 2025, 6:06 a.m. |
Tokyo time: | May 11, 2025, 7:06 p.m. |