Axis Banking (India) Financial Indicators Patterns

F00000OBM7 -- India Fund  

INR 1,003  2.42  0.24%

We suggest you to use Axis Banking Debt fundamental analysis to see if markets are presently mispricing the fund. In plain English you can use it to find out if Axis Banking Debt is indeed mispriced or if you can make any profits on it by purchasing it and then waiting for the market to recognize its mistake and reprise the security. . We found six available fundamental indicators for Axis Banking Debt Fund Dl Div which can be compared to its rivals. Please confirm Axis Banking Debt Last Dividend Paid as well as the relationship between Cash Position Weight and Bond Positions Weight to decide if Axis Banking Debt is priced fairly. Use Axis Banking to enhance returns of your portfolios. The fund experiences normal upward fluctuation. Check odds of Axis Banking to be traded at 1053.3 in 30 days.

Axis Banking Company Summary

Axis Banking competes with JM Money, JM Money, ICICI Pru, Birla Sun, and LT FRF. To generate stable returns by investing predominantly in debt money market instruments issued by banks. Axis Banking is traded on Bombay Stock Exchange in India.

Axis Banking Last Dividend Paid vs Cash Position Weight

Axis Banking Debt Fund Dl Div is one of the top funds in last dividend paid among similar funds. It is rated below average in cash position weight among similar funds creating about  12.72  of Cash Position Weight per Last Dividend Paid.

Axis Banking Market Fundamentals

 Change(%) 0.24%

Distress Rating

Axis Banking Financial Distress Probability

Chance of Financial Distress
Axis Banking Debt Fund Dl Div has less than 44 (%) percent chance of experiencing financial distress in the next 2 years of operations. More Info

Axis Banking Opportunity Range

January 16, 2019 Opportunity Range

Additionally see Investing Opportunities. Please also try Instant Ratings module to determine any equity ratings based on digital recommendations. macroaxis instant equity ratings are based on combination of fundamental analysis and risk-adjusted market performance.