AXIS PENSION FUND MANAGEMENT LIMITED SCHEME G - TIER II

Tier II Government Securities

Government Securities · Tier II · AXIS PENSION FUND MANAGEMENT LIMITED NPS Scheme Returns 2026

Current NAV
₹12.8481
as on 25 Jul 2026
1M
1Y
NAV Movement
to

Past performance is not indicative of future returns.

Scheme Details
Scheme IDSM013007
PFM AXIS PENSION FUND MANAGEMENT LIMITED
TierTier II
Asset ClassGovernment Securities
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