Mutual Funds
Fund Profile
Scheme Profile
Daily NAV
MF Synopsis
Historical NAV
Dividend Details
MF Activity
Top 10 Holdings
Mutual Fund News
FAQ's
Application Form
New Fund Offer
Fund Performance
Return Calculator
SIP Calculator
Fund Profile
Back
Incorporated on  Aug 13 , 2007
Total assets under management  ( Cr)  5871.5459(Sep 30 , 2018)
Type  Joint Venture Indian
Address:  51, 5th Floor, Kalpataru Synergy,East Wing, Vakola,Santacruz East, Mumbai - 400055.
Tel No.  020 - 40112300,40479000
Fax:  
E-mail:  service@boiaxa-im.com
Website  www.boiaxamf.com
Registrar  NA
Scheme Details
Scheme Name Category Asset Size Cr. Asset Date NAV NAV Date Fund Manager
BOI AXA Arbitrage Fund... Equity - Diversified 108.90 31-Oct-2018 10.26 16-Nov-2018 Ajay Khandelwal
BOI AXA Arbitrage Fund... Equity - Diversified 108.90 31-Oct-2018 10.24 16-Nov-2018 Ajay Khandelwal
BOI AXA Conservative H... Bond Funds 220.49 31-Oct-2018 20.96 16-Nov-2018 Alok Singh
BOI AXA Conservative H... Bond Funds 220.49 31-Oct-2018 20.76 16-Nov-2018 Alok Singh
BOI AXA Conservative H... Bond Funds 220.49 31-Oct-2018 20.41 16-Nov-2018 Alok Singh
BOI AXA CPO Fund - Ser... Bond Funds 54.10 31-Oct-2018 12.37 16-Nov-2018 Alok Singh
BOI AXA CPO Fund - Ser... Bond Funds 54.10 31-Oct-2018 12.26 16-Nov-2018 Alok Singh
BOI AXA Credit Risk Fu... Bond Funds 1017.01 31-Oct-2018 12.89 16-Nov-2018 Alok Singh
BOI AXA Credit Risk Fu... Bond Funds 1017.01 31-Oct-2018 12.83 16-Nov-2018 Alok Singh
BOI AXA Equity Debt Re... Balanced 230.95 31-Oct-2018 15.04 16-Nov-2018 Saurabh Kataria
<< < 1 2 3   > >> 
Career  |   Disclaimer   |   Partner with us   |   Sitemap   |   Risk Disclosure   |  Investor Grievance  |   Downloads
SEBI Regn.- NSE Cash-INB230645838, NSE Derivatives-INF230645838, Other Links : NSE   |   BSE   |   CDSL  |   MCX   |   NSDL  |  SEBI  |   RBI
BSE Cash-INB010645837, MCX-TCM 28925 2012-13 © Vibrant Securities Pvt. Ltd.     Designed, developed & content provided by C-MOTS Infotech (ISO 9001:2015 certified)