• career

People are at the core of our business

At Essel Finance, we are committed to creating a work space that empowers people and promotes internal growth, and where individuality and collaboration co-exist. Our competent and driven workforce possesses the core technical knowledge and the requisite experience that is essential to deliver excellence. We immensely value our human resources and offer them an environment where nothing comes in the way of them achieving their full potential.

  • Why Us
      • Strong visionary leadership
      • Flat organizational Structure
      • Excellent opportunities for career growth
      • Cross functioning opportunities
      • Better work-life balance
      • Careers across geographies owing to our pan-India presence
      • Be a part of one the India’s largest conglomerate
  • Current Openings
    • Job Title:
      Manager – Claims
      Job Location:
      Gurgaon
      Description:

      Lorem Ipsum is simply dummy text of the printing and typesetting industry. Lorem Ipsum has been the industry's standard dummy text ever since the 1500s, when an unknown printer took a galley of type and scrambled it to make a type specimen book. It has survived not only five centuries, but also the leap into electronic typesetting, remaining essentially unchanged. It was popularised in the 1960s with the release of Letraset sheets containing Lorem Ipsum passages, and more recently with desktop publishing software like Aldus PageMaker including versions of Lorem Ipsum.

      Job Title:
      Relationship Manager – Assisted Sales
      Job Location:
      Gurgaon
      Description:

      Lorem Ipsum is simply dummy text of the printing and typesetting industry. Lorem Ipsum has been the industry's standard dummy text ever since the 1500s, when an unknown printer took a galley of type and scrambled it to make a type specimen book. It has survived not only five centuries, but also the leap into electronic typesetting, remaining essentially unchanged. It was popularised in the 1960s with the release of Letraset sheets containing Lorem Ipsum passages, and more recently with desktop publishing software like Aldus PageMaker including versions of Lorem Ipsum.

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    AXIS Liquid Fund (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,835.33] ,    AXIS Liquid Fund (Div-D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,000.88] ,    AXIS Liquid Fund (Div-W)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,002.09] ,    AXIS Liquid Fund (Div-M)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,005.51] ,    AXIS Treasury Advantage Fund (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,854.95] ,    AXIS Treasury Advantage Fund (Div-D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,006.23] ,    AXIS Treasury Advantage Fund (Div-W)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,006.00] ,    AXIS Treasury Advantage Fund (Div-M)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,010.92] ,    AXIS Equity Fund (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :23.13] ,    AXIS Equity Fund (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :15.44] ,    AXIS Long Term Equity Fund (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :37.96] ,    AXIS Long Term Equity Fund (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :22.21] ,    AXIS Short Term Fund (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :18.24] ,    AXIS Short Term Fund (Div-M)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.29] ,    AXIS Short Term Fund (Div-W)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.25] ,    AXIS Liquid Fund - Retail (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,749.48] ,    AXIS Liquid Fund - Retail (Div-D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,000.64] ,    AXIS Liquid Fund - Retail (Div-W)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,000.52] ,    AXIS Liquid Fund - Retail (Div-M)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,004.69] ,    AXIS Treasury Advantage Fund - Retail (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,742.40] ,    AXIS Treasury Advantage Fund - Retail (Div-D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,005.48] ,    AXIS Treasury Advantage Fund - Retail (Div-W)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,004.60] ,    AXIS Treasury Advantage Fund - Retail (Div-M)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,010.70] ,    AXIS Short Term Fund - Retail (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :18.04] ,    AXIS Short Term Fund - Retail (Div-M)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.14] ,    AXIS Short Term Fund - Retail (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.15] ,    AXIS Income Saver (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :17.84] ,    AXIS Income Saver (Div-Q)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.03] ,    AXIS Income Saver (Div-Hy)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.59] ,    AXIS Income Saver (Div-A)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.05] ,    AXIS Triple Advantage Fund (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :17.46] ,    AXIS Triple Advantage Fund (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :14.24] ,    AXIS Gold ETF  [ NAV DATE :24 - July - 2017]    [NAV PRICE :2,557.65] ,    AXIS Midcap Fund (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :30.19] ,    AXIS Midcap Fund (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :23.52] ,    AXIS Dynamic Bond Fund (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :17.51] ,    AXIS Dynamic Bond Fund (Div-Q)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.68] ,    AXIS Dynamic Bond Fund (Div-Hy)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.14] ,    AXIS Gold Fund (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :9.15] ,    AXIS Gold Fund (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :9.16] ,    AXIS Constant Maturity Fund - 10 Years (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :15.22] ,    AXIS Constant Maturity Fund - 10 Years (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.33] ,    AXIS Constant Maturity Fund - 10 Years (Div-H)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.93] ,    AXIS Regular Savings Fund (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :16.27] ,    AXIS Regular Savings Fund (Div-H)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.26] ,    AXIS Regular Savings Fund (Div-Q)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.62] ,    AXIS Banking & PSU Debt Fund (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,534.95] ,    AXIS Banking & PSU Debt Fund (Div-D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,008.04] ,    AXIS Banking & PSU Debt Fund (Div-M)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,014.83] ,    AXIS Banking & PSU Debt Fund (Div-W)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,007.28] ,    AXIS Focused 25 Fund (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :23.83] ,    AXIS Focused 25 Fund (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :18.51] ,    AXIS Capital Protection Fund - Sr.V (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :14.88] ,    AXIS Capital Protection Fund - Sr.V (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :14.88] ,    AXIS Banking & PSU Debt Fund - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,547.46] ,    AXIS Constant Maturity Fund - 10 Years-Dir (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :15.58] ,    AXIS Dynamic Bond Fund - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :18.47] ,    AXIS Gold Fund - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :9.69] ,    AXIS Liquid Fund - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,841.13] ,    AXIS Long Term Equity Fund - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :40.04] ,    AXIS Midcap Fund - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :31.89] ,    AXIS Short Term Fund - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :18.92] ,    AXIS Treasury Advantage Fund - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,890.13] ,    AXIS Triple Advantage Fund - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :18.34] ,    AXIS Equity Fund - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :24.30] ,    AXIS Focused 25 Fund - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :25.18] ,    AXIS Banking & PSU Debt Fund - Direct (Div-D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,008.04] ,    AXIS Dynamic Bond Fund - Direct (Div-Q)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.36] ,    AXIS Equity Fund - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :16.28] ,    AXIS Focused 25 Fund - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :24.87] ,    AXIS Gold Fund - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :9.70] ,    AXIS Liquid Fund - Direct (Div-D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,000.64] ,    AXIS Long Term Equity Fund - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :34.11] ,    AXIS Midcap Fund - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :27.41] ,    AXIS Short Term Fund - Direct (Div-W)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.24] ,    AXIS Treasury Advantage Fund - Direct (Div-D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,007.29] ,    AXIS Triple Advantage Fund - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :15.79] ,    AXIS Regular Savings Fund - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :16.94] ,    AXIS Income Saver - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :18.99] ,    AXIS Banking & PSU Debt Fund - Direct (Div-W)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,007.28] ,    AXIS Regular Savings Fund - Direct (Div-Q)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.18] ,    AXIS Short Term Fund - Direct (Div-M)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.14] ,    AXIS Treasury Advantage Fund - Direct (Div-M)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,011.50] ,    AXIS Treasury Advantage Fund - Direct (Div-W)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,004.60] ,    AXIS Constant Maturity Fund - 10 Years-Dir (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.35] ,    AXIS Income Saver - Direct (Div-Q)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :13.39] ,    AXIS Liquid Fund - Direct (Div-M)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,005.19] ,    AXIS Liquid Fund - Direct (Div-W)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,002.09] ,    AXIS Banking & PSU Debt Fund - Direct (Div-M)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,014.96] ,    AXIS Hybrid Fund - Series 5 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.61] ,    AXIS Hybrid Fund - Series 5 (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.61] ,    AXIS Hybrid Fund - Series 5 - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :13.10] ,    AXIS Hybrid Fund - Series 5 - Direct (D)  [ NAV DATE :24 - January - 2017]    [NAV PRICE :12.76] ,    AXIS Income Saver - Direct (Div-H)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.14] ,    AXIS Hybrid Fund - Series 6 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.97] ,    AXIS Hybrid Fund - Series 6 (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.98] ,    AXIS Hybrid Fund - Series 6 - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :13.48] ,    AXIS Hybrid Fund - Series 6 - Direct (D)  [ NAV DATE :15 - February - 2017]    [NAV PRICE :13.17] ,    AXIS Hybrid Fund - Series 7 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.98] ,    AXIS Hybrid Fund - Series 7 (D)  [ NAV DATE :06 - March - 2017]    [NAV PRICE :12.74] ,    AXIS Hybrid Fund - Series 7 - Direct (G)  [ NAV DATE :06 - March - 2017]    [NAV PRICE :13.19] ,    AXIS Hybrid Fund - Series 7 - Direct (D)  [ NAV DATE :06 - March - 2017]    [NAV PRICE :13.18] ,    AXIS Dynamic Bond Fund - Direct (Div-H)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.77] ,    AXIS Constant Maturity Fund - 10 Yeras-Dir (Div-H)  [ NAV DATE :03 - August - 2016]    [NAV PRICE :11.67] ,    AXIS Income Saver - Direct (Div-A)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.60] ,    AXIS FTP - Series 41 - 546Days (G)  [ NAV DATE :07 - April - 2015]    [NAV PRICE :11.41] ,    AXIS FTP - Series 41 - 546Days (D)  [ NAV DATE :07 - April - 2015]    [NAV PRICE :11.41] ,    AXIS FTP - Series 41 - 546Days - Direct (G)  [ NAV DATE :07 - April - 2015]    [NAV PRICE :11.45] ,    AXIS FTP - Series 41 - 546Days (Div-Q)  [ NAV DATE :07 - April - 2015]    [NAV PRICE :10.29] ,    AXIS Small Cap Fund (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :25.67] ,    AXIS Small Cap Fund (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :23.06] ,    AXIS Small Cap Fund - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :26.73] ,    AXIS Small Cap Fund - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :24.06] ,    AXIS Hybrid Fund - Series 8 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.94] ,    AXIS Hybrid Fund - Series 8 (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.94] ,    AXIS Hybrid Fund - Series 8 - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :13.39] ,    AXIS Hybrid Fund - Series 8 - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :13.39] ,    AXIS Hybrid Fund - Series 9 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.95] ,    AXIS Hybrid Fund - Series 9 (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.95] ,    AXIS Hybrid Fund - Series 9 - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :13.39] ,    AXIS Hybrid Fund - Series 9 - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :13.39] ,    AXIS FTP - Series 49 - 437Days (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :13.22] ,    AXIS FTP - Series 49 - 437Days (Div-Q)  [ NAV DATE :15 - April - 2015]    [NAV PRICE :10.18] ,    AXIS FTP - Series 49 - 437Days (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :13.21] ,    AXIS FTP - Series 49 - 437Days - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :13.38] ,    AXIS FTP - Series 52 - 428Days (G))  [ NAV DATE :24 - July - 2017]    [NAV PRICE :13.24] ,    AXIS FTP - Series 52 - 428Days (Div-Q)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.22] ,    AXIS FTP - Series 52 - 428Days (D)  [ NAV DATE :16 - April - 2015]    [NAV PRICE :11.05] ,    AXIS FTP - Series 52 - 428Days - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :13.39] ,    AXIS FTP - Series 55 - 399Days (G)  [ NAV DATE :06 - April - 2015]    [NAV PRICE :11.01] ,    AXIS FTP - Series 55 - 399Days (Div-Q)  [ NAV DATE :06 - April - 2015]    [NAV PRICE :10.19] ,    AXIS FTP - Series 55 - 399Days (D)  [ NAV DATE :06 - April - 2015]    [NAV PRICE :11.01] ,    AXIS FTP - Series 55 - 399Days - Direct (G)  [ NAV DATE :06 - April - 2015]    [NAV PRICE :11.08] ,    AXIS FTP - Series 57 - 397Days (G)  [ NAV DATE :06 - April - 2015]    [NAV PRICE :10.99] ,    AXIS FTP - Series 57 - 397Days (Div-Q)  [ NAV DATE :06 - April - 2015]    [NAV PRICE :10.16] ,    AXIS FTP - Series 57 - 397Days (D)  [ NAV DATE :06 - April - 2015]    [NAV PRICE :10.99] ,    AXIS FTP - Series 57 - 397Days - Direct (G)  [ NAV DATE :06 - April - 2015]    [NAV PRICE :11.06] ,    AXIS FTP - Series 59 - 391Days (G)  [ NAV DATE :06 - April - 2015]    [NAV PRICE :10.97] ,    AXIS FTP - Series 59 - 391Days (Div-Q)  [ NAV DATE :06 - April - 2015]    [NAV PRICE :10.14] ,    AXIS FTP - Series 59 - 391Days (D)  [ NAV DATE :06 - April - 2015]    [NAV PRICE :10.97] ,    AXIS FTP - Series 59 - 391Days - Direct (G)  [ NAV DATE :06 - April - 2015]    [NAV PRICE :11.03] ,    AXIS FTP - Series 60 - 389Days (G)  [ NAV DATE :06 - April - 2015]    [NAV PRICE :10.95] ,    AXIS FTP - Series 60 - 389Days (Div-Q)  [ NAV DATE :06 - April - 2015]    [NAV PRICE :10.13] ,    AXIS FTP - Series 60 - 389Days (D)  [ NAV DATE :06 - April - 2015]    [NAV PRICE :10.95] ,    AXIS FTP - Series 60 - 389Days - Direct (G)  [ NAV DATE :06 - April - 2015]    [NAV PRICE :11.02] ,    AXIS FTP - Series 62 - 383Days (G)  [ NAV DATE :06 - April - 2015]    [NAV PRICE :10.97] ,    AXIS FTP - Series 62 - 383Days (Div-Q)  [ NAV DATE :06 - April - 2015]    [NAV PRICE :10.14] ,    AXIS FTP - Series 62 - 383Days (D)  [ NAV DATE :06 - April - 2015]    [NAV PRICE :10.97] ,    AXIS FTP - Series 62 - 383Days - Direct (G)  [ NAV DATE :06 - April - 2015]    [NAV PRICE :10.98] ,    AXIS Liquid Fund - Direct (Bonus)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :1,841.01] ,    AXIS Treasury Advantage Fund - Direct (Bonus)  [ NAV DATE :10 - April - 2017]    [NAV PRICE :1,847.59] ,    AXIS Short Term Fund (Bonus)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :18.35] ,    AXIS Banking & PSU Debt Fund - Direct (Bonus)  [ NAV DATE :14 - June - 2017]    [NAV PRICE :1,532.83] ,    AXIS Constant Maturity Fund - 10 Years-Dir (B)  [ NAV DATE :06 - October - 2016]    [NAV PRICE :14.74] ,    AXIS FTP - Series 64 - 1877Days (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :13.05] ,    AXIS FTP - Series 64 - 1877Days (Div-Q)  [ NAV DATE :06 - April - 2016]    [NAV PRICE :10.27] ,    AXIS FTP - Series 64 - 1877Days (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :13.05] ,    AXIS FTP - Series 64 - 1877Days - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :13.28] ,    AXIS FTP - Series 64 - 1877Days - Direct (D)  [ NAV DATE :06 - April - 2016]    [NAV PRICE :11.88] ,    AXIS Hybrid Fund - Series 11 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.43] ,    AXIS Hybrid Fund - Series 11 (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.43] ,    AXIS Hybrid Fund - Series 11 - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.85] ,    AXIS Hybrid Fund - Series 11 - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.85] ,    AXIS Hybrid Fund - Series 12 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.38] ,    AXIS Hybrid Fund - Series 12 (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.38] ,    AXIS Hybrid Fund - Series 12 - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.79] ,    AXIS Hybrid Fund - Series 12 - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.79] ,    AXIS Hybrid Fund - Series 13 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.33] ,    AXIS Hybrid Fund - Series 13 (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.33] ,    AXIS Hybrid Fund - Series 13 - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.73] ,    AXIS Hybrid Fund - Series 13 - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.73] ,    AXIS FTP - Series 67 - 1218Days (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.98] ,    AXIS FTP - Series 67 - 1218Days (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.98] ,    AXIS FTP - Series 67 - 1218Days - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :13.29] ,    AXIS Fixed Income Opportunities Fund (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :13.20] ,    AXIS Fixed Income Opportunities Fund (Div-W)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.17] ,    AXIS Fixed Income Opportunities Fund (Div-M)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.23] ,    AXIS Fixed Income Opportunities Fund - Dir (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :13.63] ,    AXIS Fixed Income Opportunities Fund - Dir (Div-W)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.25] ,    AXIS Fixed Income Opportunities Fund - Dir (Div-M)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.16] ,    AXIS FTP - Series 69 - 3Years (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.79] ,    AXIS FTP - Series 69 - 3Years (Div-H)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.41] ,    AXIS FTP - Series 69 - 3Years (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.79] ,    AXIS FTP - Series 69 - 3Years - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :13.03] ,    AXIS Enhanced Arbitrage Fund (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.13] ,    AXIS Enhanced Arbitrage Fund (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.51] ,    AXIS Enhanced Arbitrage Fund - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.43] ,    AXIS Enhanced Arbitrage Fund - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.87] ,    AXIS Hybrid Fund - Series 14 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.96] ,    AXIS Hybrid Fund - Series 14 (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.96] ,    AXIS Hybrid Fund - Series 14 - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.41] ,    AXIS Hybrid Fund - Series 14 - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.55] ,    AXIS Hybrid Fund - Series 15 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.85] ,    AXIS Hybrid Fund - Series 15 (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.85] ,    AXIS Hybrid Fund - Series 15 - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.22] ,    AXIS Hybrid Fund - Series 15 - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.22] ,    AXIS Hybrid Fund - Series 18 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.23] ,    AXIS Hybrid Fund - Series 18 (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.23] ,    AXIS Hybrid Fund - Series 18 - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.51] ,    AXIS Hybrid Fund - Series 18 - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.51] ,    AXIS Hybrid Fund - Series 19 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.05] ,    AXIS Hybrid Fund - Series 19 (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.05] ,    AXIS Hybrid Fund - Series 19 - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.33] ,    AXIS Hybrid Fund - Series 19 - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.33] ,    AXIS Short Term Fund (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.20] ,    AXIS Short Term Fund - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.53] ,    AXIS FTP - Series 74 - 1105Days (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.14] ,    AXIS FTP - Series 74 - 1105Days (Div-H)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.34] ,    AXIS FTP - Series 74 - 1105Days (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.14] ,    AXIS FTP - Series 74 - 1105Days - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.18] ,    AXIS FTP - Series 74 - 1105Days - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.19] ,    AXIS Hybrid Fund - Series 22 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.08] ,    AXIS Hybrid Fund - Series 22 (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.08] ,    AXIS Hybrid Fund - Series 22 - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.38] ,    AXIS Hybrid Fund - Series 22 - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.38] ,    AXIS Hybrid Fund - Series 23 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.15] ,    AXIS Hybrid Fund - Series 23 (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.15] ,    AXIS Hybrid Fund - Series 23 - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.44] ,    AXIS Hybrid Fund - Series 23 - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.44] ,    AXIS Hybrid Fund - Series 24 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.30] ,    AXIS Hybrid Fund - Series 24 (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.30] ,    AXIS Hybrid Fund - Series 24 - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.59] ,    AXIS Hybrid Fund - Series 24 - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.59] ,    AXIS Regular Savings Fund - Direct (Div-H)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.48] ,    AXIS Hybrid Fund - Series 25 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.20] ,    AXIS Hybrid Fund - Series 25 (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.20] ,    AXIS Hybrid Fund - Series 25 - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.47] ,    AXIS Hybrid Fund - Series 25 - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.47] ,    AXIS Equity Saver Fund (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.37] ,    AXIS Equity Saver Fund (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.03] ,    AXIS Equity Saver Fund (Div-M)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.76] ,    AXIS Equity Saver Fund (Div-Q)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.78] ,    AXIS Equity Saver Fund - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.65] ,    AXIS Equity Saver Fund - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.83] ,    AXIS Equity Saver Fund - Direct (Div-M)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.98] ,    AXIS Equity Saver Fund - Direct (Div-Q)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.02] ,    AXIS Hybrid Fund - Series 26 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.47] ,    AXIS Hybrid Fund - Series 26 (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.47] ,    AXIS Hybrid Fund - Series 26 - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.74] ,    AXIS Hybrid Fund - Series 26 - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.74] ,    AXIS Hybrid Fund - Series 27 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.34] ,    AXIS Hybrid Fund - Series 27 (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.34] ,    AXIS Hybrid Fund - Series 27 - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.59] ,    AXIS Hybrid Fund - Series 27 - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.59] ,    AXIS Hybrid Fund - Series 28 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.63] ,    AXIS Hybrid Fund - Series 28 (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.63] ,    AXIS Hybrid Fund - Series 28 - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.88] ,    AXIS Hybrid Fund - Series 28 - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.88] ,    AXIS Children's Gift Fund - Lock in (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.78] ,    AXIS Children's Gift Fund - Lock in (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.79] ,    AXIS Children's Gift Fund - Lock in - Dir (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.09] ,    AXIS Children'S Gift Fund - Lock in - Dir (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.09] ,    AXIS Children's Gift Fund - No Lock in (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.78] ,    AXIS Children's Gift Fund - No Lock in (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.79] ,    AXIS Children's Gift Fund - No Lock in - Dir (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.17] ,    AXIS Children's Gift Fund - No Lock in - Dir (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.09] ,    AXIS Hybrid Fund - Series 29 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.08] ,    AXIS Hybrid Fund - Series 29 (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.08] ,    AXIS Hybrid Fund - Series 29 - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.31] ,    AXIS Hybrid Fund - Series 30 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.54] ,    AXIS Hybrid Fund - Series 30 (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.54] ,    AXIS Hybrid Fund - Series 30 - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :12.77] ,    AXIS Hybrid Fund - Series 31 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.96] ,    AXIS Hybrid Fund - Series 31 (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.96] ,    AXIS Hybrid Fund - Series 31 - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.15] ,    AXIS Hybrid Fund - Series 31 - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.15] ,    AXIS Hybrid Fund - Series 32 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.88] ,    AXIS Hybrid Fund - Series 32 (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.88] ,    AXIS Hybrid Fund - Series 32 - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.03] ,    AXIS Hybrid Fund - Series 32 - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.03] ,    AXIS Hybrid Fund - Series 33 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.72] ,    AXIS Hybrid Fund - Series 33 (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.72] ,    AXIS Hybrid Fund - Series 33 - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.88] ,    AXIS Hybrid Fund - Series 33 - Direct (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.88] ,    AXIS Hybrid Fund - Series 35 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.18] ,    AXIS Hybrid Fund - Series 35 (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.18] ,    AXIS Hybrid Fund - Series 35 - Direct (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.30] ,    AXIS Emerging Opportunities Fund - Sr.1 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.41] ,    AXIS Emerging Opportunities Fund - Sr.1 (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.41] ,    AXIS Emerging Opportunities Fund - Sr.1 -Dir (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.52] ,    AXIS Emerging Opportunities Fund - Sr.1 -Dir (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.52] ,    AXIS Emerging Opportunities Fund - Sr.2 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.05] ,    AXIS Emerging Opportunities Fund - Sr.2 (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.05] ,    AXIS Emerging Opportunities Fund - Sr.2 -Dir (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.12] ,    AXIS Emerging Opportunities Fund - Sr.2 -Dir (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :11.12] ,    AXIS Equity Advantage Fund - Series 1 (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.11] ,    AXIS Equity Advantage Fund - Series 1 - Dir (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.13] ,    AXIS Nifty ETF  [ NAV DATE :24 - July - 2017]    [NAV PRICE :999.03] ,    AXIS Corporate Debt Opportunities Fund-Reg (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.04] ,    AXIS Corporate Debt Opportunities Fund-Reg (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.04] ,    AXIS Corporate Debt Opportunities Fund-Reg (Div-D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.04] ,    AXIS Corporate Debt Opportunities Fund-Reg (Div-W)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.04] ,    AXIS Corporate Debt Opportunities Fund-Reg (Div-M)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.04] ,    AXIS Corporate Debt Opportunities Fund-Dir (G)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.04] ,    AXIS Corporate Debt Opportunities Fund-Dir (D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.04] ,    AXIS Corporate Debt Opportunities Fund-Dir (Div-D)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.04] ,    AXIS Corporate Debt Opportunities Fund-Dir (Div-W)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.04] ,    AXIS Corporate Debt Opportunities Fund-Dir (Div-M)  [ NAV DATE :24 - July - 2017]    [NAV PRICE :10.04] ,
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