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Navi Liquid Fund(DD-IDCW)-Direct Plan

Scheme Returns

6.54%

Category Returns

6.94%

Trailing Returns

1 Day 1 week 1 Mth 3 Mth 1 Yrs 3 Yrs 4 Yrs 5 Yrs Since Inception
Navi Liquid Fund(DD-IDCW)-Direct Plan 0.01 0.12 0.56 1.68 6.89 5.73 5.04 4.78 5.54
Debt - Liquid Fund 10.64 7.26 6.94 7.12 7.18 5.68 5.03 5.09 6.39

* Equity - Returns upto 1 year are absolute and over 1 year are CAGR.

* Debt - Returns upto 1 year are annualized and over 1 year are CAGR.


  • AMC

    Navi AMC Limited

  • Fund

    Navi Mutual Fund

Snapshot

  • Inception Date

    01-Jan-2013

  • Initial Price

    ₹10

  • Entry Load

    --

  • Size of Fund(in Cr.)

    --

  • Scheme Plan

    --

  • Scheme Class

    Debt - Liquid Fund

  • Objectives

    To provide a high level of liquidity with reasonable returns commensurate with low risk through a portfolio of money market and debt securities. However, there can be no assurance that the investment objective of the scheme will be achieved.

  • Scheme Type

    Open ended scheme

  • Min. Investment

    ₹10

  • Exit Load

    0.007

  • Latest NAV

    10.0129

  • Fund Manager

    Mr. Tanmay Sethi

  • Fund Manager Profile

    Mr. Tanmay has over 6 years of experience in the Mutual Fund industry. He had previously served in the capacity of Commodity Fund Manager and Chief Risk Officer of Navi Mutual Fund and was also associated with HDFC Mutual Fund in the fixed income treasury operations.

Riskometer

  • Low
  • Low to moderate
  • Moderate
  • Moderately High
  • High
  • Very High
  • Fund Information

  • AMC

    Navi AMC Limited

  • Address

    AMR Tech Park, Ground Floor, Municipal/ Khata No. 826/792/46/23/1/24/1, Hongasandra Village Hosur Road Bengaluru - 560068

  • Phone

    033 40185000

  • Fax

    (044) 28291521

  • Email

    mf@navi.com

  • Website

    www.navimutualfund.com

  • Registrar Agent

  • Registrar

    Computer Age Management Services Limited

  • Address

    178 / 10, Kodambakkam High Road, Opp. Palmgroove Hotel, M.G.R. Salai, Nungambakkam, Chennai - 600 034

  • Phone

    (044) 39115574, 39115583

  • Fax

    (044) 28291521

  • Email

    camslb@camsonline.com

  • Website

    www.camsonline.com

Portfolio Details

Company Market Value hold percentage
TREPS/Reverse Repo/Net Current Assets/Cash/Cash Equivalent 999.54 11.16
SBI FUNDS MANAGEMENT PVT LMTD () 31.42 0.29
9.39% POWER FINANCE CORPORATION LIMITED (27/08/2024) ** 401.44 4.74
8.40% POWER GRID CORPORATION OF INDIA LIMITED (27/05/2024) ** 800.2 6.96
8.29% Rajasthan SDL (23/06/2024) ** 149.7 1.62
8.21% Haryana (31/03/2024) 500.34 4.77
8.65% Uttar Pradesh (10/03/2024) 400.15 3.81
9.70% TATA POWER COMPANY LIMITED (27/08/2023) ** 801.94 8.96
8.10% RURAL ELEC CORP LTD (25/06/2024) 200.04 2.36
9.29% TATA MOTORS LIMITED (28/06/2024) ** 852.11 9.22
5.32% NATIONAL HOUSING BANK (01/09/2023) ** 498.59 5.57
7.50% GODREJ PROPERTIES LIMITED (31/07/2023) ** 499.87 5.58
5.50% KOTAK MAHINDRA PRIME LIMITED (08/09/2023) ** 499.01 5.99
4.79% HINDUSTAN PETROLEUM CORPORATION LIMITED (23/10/2023) ** 498.21 5.88
7.45% MANAPPURAM FINANCE LIMITED (22/12/2023) ** 499.63 4.53
5.44% NATIONAL HOUSING BANK (02/04/2024) 798.37 7.61
5.74% REC LIMITED (20/06/2024) ** 498.71 5.4
6.69% GOI (27/06/2024) ** 25.08 0.27
8.40% MUTHOOT FINANCE LIMITED (15/07/2023) ** 500.04 5.58
364 DAY TREASURY BILL 09-NOV-2023 496.45 6.29
ICICI BANK LIMITED (17/11/2023) 495.57 6.28
SIDBI (06/12/2023) **# 493.69 6.26
182 DAYS TREASURY BILL 13-JUL-2023 997.85 11.14
182 DAYS TREASURY BILL 17-AUG-2023 1982.77 22.14
364 DAY TREASURY BILL 14-MAR-2024 986.37 9.24
BIRLA GROUP HOLDINGS PRIVATE LTD (26/04/2024) ** 641.54 6.12
91 DAYS TREASURY BILL 10-AUG-2023 1489.01 16.63
182 DAYS TREASURY BILL 02-NOV-2023 494.34 5.83
182 DAYS TREASURY BILL 16-NOV-2023 986.1 11.64
182 DAYS TREASURY BILL 30-NOV-2023 494.55 6.27
364 DAYS TREASURY BILL 02-MAY-2024 8.2 0.08
TIME TECHNOPLAST LIMITED (28/08/2023) ** 690.83 7.71
NORTHERN ARC CAPITAL LTD (22/08/2023) ** 494.16 5.52
364 DAYS TREASURY BILL 09-MAY-2024 9.67 0.09
CHOLAMANDALAM INVEST & FINANCE CO LTD (30/05/2024) ** 246.76 2.15
EXIM BANK (10/06/2024) **# 694.58 7.52
91 DAYS TREASURY BILL 12-OCT-2023 493.47 5.92
HDFC BANK LIMITED (16/04/2024) 346.4 3.3
IDFC FIRST BANK LIMITED (27/09/2023) **# 494.64 5.93
91 DAYS TREASURY BILL 02-NOV-2023 494.34 5.83
ADITYA BIRLA FINANCE LIMITED (07/11/2023) ** 493.39 5.82
MOTILAL OSWAL FINANCIAL SERVICES (22/11/2023) ** 490.68 5.79
91 DAYS TREASURY BILL 30-NOV-2023 491.79 5.8
TIME TECHNOPLAST LIMITED (27/11/2023) ** 490.19 5.78
91 DAYS TREASURY BILL 07-DEC-2023 493.91 6.26
91 DAYS TREASURY BILL 11-JAN-2024 493.4 4.56
91 DAYS TREASURY BILL 18-JAN-2024 985.46 9.11
91 DAYS TREASURY BILL 25-JAN-2024 494.83 4.49
IDFC FIRST BANK LIMITED (22/01/2024) **# 491.86 4.55
INDUSIND BANK LIMITED (26/12/2023) **# 497.54 4.51
L&T FINANCE HOLDINGS LIMITED (22/12/2023) ** 497.82 4.51
91 DAYS TREASURY BILL 01-FEB-2024 988.42 8.96
91 DAYS TREASURY BILL 08-FEB-2024 992.93 9.3
182 DAYS TREASURY BILL 09-MAY-2024 997.29 9.51
INDUSIND BANK LIMITED (11/06/2024) **# 743.97 8.05
ADITYA BIRLA FINANCE LIMITED (23/02/2024) ** 491.13 4.45
91 DAYS TREASURY BILL 22-FEB-2024 495.15 4.64
91 DAYS TREASURY BILL 29-FEB-2024 983.13 8.92
TIME TECHNOPLAST LIMITED (28/02/2024) ** 489.99 4.44
CHOLAMANDALAM INVEST & FINANCE CO LTD (22/03/2024) ** 491.24 4.6
182 DAYS TREASURY BILL 11-JUL-2024 992.54 11.72
NABARD (02/04/2024) ** 349.93 3.05
91 DAYS TREASURY BILL 11-APR-2024 493.43 4.66
LARSEN & TOUBRO LIMITED (28/03/2024) ** 795.76 7.59
91 DAYS TREASURY BILL 18-APR-2024 985.41 9.31
91 DAYS TREASURY BILL 25-APR-2024 492.05 4.65
NABARD (30/04/2024) ** 397.61 3.46
91 DAYS TREASURY BILL 02-MAY-2024 988.5 9.42
BANK OF BARODA (11/06/2024) **# 496.01 5.37
ICICI SECURITIES LIMITED (18/06/2024) ** 786.93 6.85
CANARA BANK (27/06/2024) **# 785.9 6.84
TIME TECHNOPLAST LIMITED (03/07/2024) ** 739.2 8

Divident Details

Scheme Name Date Dividend (%)
Navi Liquid Fund 19-07-2023 0.002
Navi Liquid Fund 20-07-2023 0.0017
Navi Liquid Fund 21-07-2023 0.0017
Navi Liquid Fund 23-07-2023 0.0036
Navi Liquid Fund 24-07-2023 0.0018
Navi Liquid Fund 25-07-2023 0.0016
Navi Liquid Fund 26-07-2023 0.002
Navi Liquid Fund 27-07-2023 0.0018
Navi Liquid Fund 28-07-2023 0.0016
Navi Liquid Fund 30-07-2023 0.0036
Navi Liquid Fund 31-07-2023 0.0018
Navi Liquid Fund 01-08-2023 0.0019
Navi Liquid Fund 02-08-2023 0.002
Navi Liquid Fund 03-08-2023 0.0019
Navi Liquid Fund 04-08-2023 0.0018
Navi Liquid Fund 06-08-2023 0.0035
Navi Liquid Fund 07-08-2023 0.0015
Navi Liquid Fund 08-08-2023 0.0016
Navi Liquid Fund 09-08-2023 0.0018
Navi Liquid Fund 10-08-2023 0.0015
Navi Liquid Fund 11-08-2023 0.0015
Navi Liquid Fund 13-08-2023 0.004
Navi Liquid Fund 14-08-2023 0.0016
Navi Liquid Fund 16-08-2023 0.0036
Navi Liquid Fund 17-08-2023 0.0014
Navi Liquid Fund 18-08-2023 0.0021
Navi Liquid Fund 20-08-2023 0.0037
Navi Liquid Fund 21-08-2023 0.0016
Navi Liquid Fund 22-08-2023 0.0019
Navi Liquid Fund 23-08-2023 0.0017
Navi Liquid Fund 24-08-2023 0.002
Navi Liquid Fund 25-08-2023 0.0017
Navi Liquid Fund 27-08-2023 0.0036
Navi Liquid Fund 28-08-2023 0.0018
Navi Liquid Fund 29-08-2023 0.0017
Navi Liquid Fund 30-08-2023 0.0019
Navi Liquid Fund 31-08-2023 0.0017
Navi Liquid Fund 01-09-2023 0.0018
Navi Liquid Fund 03-09-2023 0.0035
Navi Liquid Fund 04-09-2023 0.0017
Navi Liquid Fund 05-09-2023 0.0016
Navi Liquid Fund 06-09-2023 0.0018
Navi Liquid Fund 07-09-2023 0.0015
Navi Liquid Fund 10-09-2023 0.0036
Navi Liquid Fund 11-09-2023 0.0017
Navi Liquid Fund 12-09-2023 0.0015
Navi Liquid Fund 13-09-2023 0.0018
Navi Liquid Fund 14-09-2023 0.0023
Navi Liquid Fund 15-09-2023 0.0018
Navi Liquid Fund 17-09-2023 0.0037
Navi Liquid Fund 18-09-2023 0.0016
Navi Liquid Fund 19-09-2023 0.0018
Navi Liquid Fund 20-09-2023 0.0018
Navi Liquid Fund 21-09-2023 0.0022
Navi Liquid Fund 22-09-2023 0.0019
Navi Liquid Fund 24-09-2023 0.0037
Navi Liquid Fund 25-09-2023 0.0017
Navi Liquid Fund 26-09-2023 0.0014
Navi Liquid Fund 27-09-2023 0.002
Navi Liquid Fund 28-09-2023 0.0017
Navi Liquid Fund 29-09-2023 0.0023
Navi Liquid Fund 02-10-2023 0.0055
Navi Liquid Fund 03-10-2023 0.0015
Navi Liquid Fund 04-10-2023 0.0018
Navi Liquid Fund 05-10-2023 0.002
Navi Liquid Fund 06-10-2023 0.0018
Navi Liquid Fund 08-10-2023 0.0037
Navi Liquid Fund 09-10-2023 0.0017
Navi Liquid Fund 10-10-2023 0.0018
Navi Liquid Fund 11-10-2023 0.0018
Navi Liquid Fund 12-10-2023 0.0019
Navi Liquid Fund 13-10-2023 0.0014
Navi Liquid Fund 15-10-2023 0.0037
Navi Liquid Fund 16-10-2023 0.0018
Navi Liquid Fund 17-10-2023 0.0019
Navi Liquid Fund 18-10-2023 0.0019
Navi Liquid Fund 19-10-2023 0.0016
Navi Liquid Fund 20-10-2023 0.0016
Navi Liquid Fund 22-10-2023 0.0037
Navi Liquid Fund 23-10-2023 0.0015
Navi Liquid Fund 24-10-2023 0.0018
Navi Liquid Fund 25-10-2023 0.002
Navi Liquid Fund 26-10-2023 0.0018
Navi Liquid Fund 27-10-2023 0.0018
Navi Liquid Fund 29-10-2023 0.0037
Navi Liquid Fund 30-10-2023 0.0019
Navi Liquid Fund 31-10-2023 0.0018
Navi Liquid Fund 01-11-2023 0.0019
Navi Liquid Fund 02-11-2023 0.0018
Navi Liquid Fund 03-11-2023 0.0018
Navi Liquid Fund 05-11-2023 0.0037
Navi Liquid Fund 06-11-2023 0.0019
Navi Liquid Fund 07-11-2023 0.0017
Navi Liquid Fund 08-11-2023 0.0017
Navi Liquid Fund 09-11-2023 0.0017
Navi Liquid Fund 10-11-2023 0.0018
Navi Liquid Fund 12-11-2023 0.0037
Navi Liquid Fund 13-11-2023 0.0019
Navi Liquid Fund 14-11-2023 0.0019
Navi Liquid Fund 15-11-2023 0.002
Navi Liquid Fund 16-11-2023 0.0018
Navi Liquid Fund 17-11-2023 0.0019
Navi Liquid Fund 19-11-2023 0.0037
Navi Liquid Fund 20-11-2023 0.0019
Navi Liquid Fund 21-11-2023 0.0019
Navi Liquid Fund 22-11-2023 0.0018
Navi Liquid Fund 23-11-2023 0.0018
Navi Liquid Fund 24-11-2023 0.0021
Navi Liquid Fund 27-11-2023 0.0055
Navi Liquid Fund 28-11-2023 0.0018
Navi Liquid Fund 29-11-2023 0.0018
Navi Liquid Fund 30-11-2023 0.0018
Navi Liquid Fund 01-12-2023 0.0017
Navi Liquid Fund 03-12-2023 0.0037
Navi Liquid Fund 04-12-2023 0.0019
Navi Liquid Fund 05-12-2023 0.0019
Navi Liquid Fund 06-12-2023 0.0018
Navi Liquid Fund 07-12-2023 0.0019
Navi Liquid Fund 08-12-2023 0.0018
Navi Liquid Fund 10-12-2023 0.0037
Navi Liquid Fund 11-12-2023 0.0017
Navi Liquid Fund 12-12-2023 0.0016
Navi Liquid Fund 13-12-2023 0.0019
Navi Liquid Fund 14-12-2023 0.002
Navi Liquid Fund 15-12-2023 0.0019
Navi Liquid Fund 17-12-2023 0.0037
Navi Liquid Fund 18-12-2023 0.0017
Navi Liquid Fund 19-12-2023 0.0016
Navi Liquid Fund 20-12-2023 0.0016
Navi Liquid Fund 21-12-2023 0.0018
Navi Liquid Fund 22-12-2023 0.0019
Navi Liquid Fund 25-12-2023 0.0055
Navi Liquid Fund 26-12-2023 0.0016
Navi Liquid Fund 27-12-2023 0.0018
Navi Liquid Fund 28-12-2023 0.0022
Navi Liquid Fund 29-12-2023 0.0026
Navi Liquid Fund 31-12-2023 0.0037
Navi Liquid Fund 01-01-2024 0.0019
Navi Liquid Fund 02-01-2024 0.0022
Navi Liquid Fund 03-01-2024 0.0019
Navi Liquid Fund 04-01-2024 0.002
Navi Liquid Fund 05-01-2024 0.0016
Navi Liquid Fund 07-01-2024 0.0037
Navi Liquid Fund 08-01-2024 0.002
Navi Liquid Fund 09-01-2024 0.002
Navi Liquid Fund 10-01-2024 0.0018
Navi Liquid Fund 11-01-2024 0.0017
Navi Liquid Fund 12-01-2024 0.0019
Navi Liquid Fund 14-01-2024 0.0037
Navi Liquid Fund 15-01-2024 0.0018
Navi Liquid Fund 16-01-2024 0.0018
Navi Liquid Fund 17-01-2024 0.0018
Navi Liquid Fund 18-01-2024 0.0018
Navi Liquid Fund 19-01-2024 0.0018
Navi Liquid Fund 22-01-2024 0.0054
Navi Liquid Fund 23-01-2024 0.0016
Navi Liquid Fund 24-01-2024 0.0016
Navi Liquid Fund 25-01-2024 0.0011
Navi Liquid Fund 28-01-2024 0.0055
Navi Liquid Fund 29-01-2024 0.0021
Navi Liquid Fund 30-01-2024 0.0017
Navi Liquid Fund 31-01-2024 0.0019
Navi Liquid Fund 01-02-2024 0.0018
Navi Liquid Fund 02-02-2024 0.002
Navi Liquid Fund 04-02-2024 0.0035
Navi Liquid Fund 05-02-2024 0.0019
Navi Liquid Fund 06-02-2024 0.0017
Navi Liquid Fund 07-02-2024 0.0017
Navi Liquid Fund 08-02-2024 0.0018
Navi Liquid Fund 09-02-2024 0.0013
Navi Liquid Fund 11-02-2024 0.0036
Navi Liquid Fund 12-02-2024 0.0016
Navi Liquid Fund 13-02-2024 0.0018
Navi Liquid Fund 14-02-2024 0.0018
Navi Liquid Fund 15-02-2024 0.002
Navi Liquid Fund 16-02-2024 0.0016
Navi Liquid Fund 19-02-2024 0.0054
Navi Liquid Fund 20-02-2024 0.002
Navi Liquid Fund 21-02-2024 0.002
Navi Liquid Fund 22-02-2024 0.0024
Navi Liquid Fund 23-02-2024 0.0015
Navi Liquid Fund 25-02-2024 0.0039
Navi Liquid Fund 26-02-2024 0.0018
Navi Liquid Fund 27-02-2024 0.0019
Navi Liquid Fund 28-02-2024 0.002
Navi Liquid Fund 29-02-2024 0.003
Navi Liquid Fund 01-03-2024 0.0019
Navi Liquid Fund 03-03-2024 0.0036
Navi Liquid Fund 04-03-2024 0.002
Navi Liquid Fund 05-03-2024 0.0019
Navi Liquid Fund 06-03-2024 0.0017
Navi Liquid Fund 07-03-2024 0.0017
Navi Liquid Fund 10-03-2024 0.0057
Navi Liquid Fund 11-03-2024 0.002
Navi Liquid Fund 12-03-2024 0.0021
Navi Liquid Fund 13-03-2024 0.0019
Navi Liquid Fund 14-03-2024 0.0016
Navi Liquid Fund 15-03-2024 0.0018
Navi Liquid Fund 17-03-2024 0.0037
Navi Liquid Fund 18-03-2024 0.0016
Navi Liquid Fund 19-03-2024 0.0017
Navi Liquid Fund 20-03-2024 0.0016
Navi Liquid Fund 21-03-2024 0.0015
Navi Liquid Fund 22-03-2024 0.0016
Navi Liquid Fund 25-03-2024 0.0057
Navi Liquid Fund 26-03-2024 0.0014
Navi Liquid Fund 27-03-2024 0.0014
Navi Liquid Fund 28-03-2024 0.0057
Navi Liquid Fund 01-04-2024 0.0072
Navi Liquid Fund 02-04-2024 0.0033
Navi Liquid Fund 03-04-2024 0.0018
Navi Liquid Fund 04-04-2024 0.0018
Navi Liquid Fund 05-04-2024 0.0019
Navi Liquid Fund 07-04-2024 0.0037
Navi Liquid Fund 08-04-2024 0.0027
Navi Liquid Fund 09-04-2024 0.0018
Navi Liquid Fund 10-04-2024 0.0028
Navi Liquid Fund 11-04-2024 0.0018
Navi Liquid Fund 12-04-2024 0.0018
Navi Liquid Fund 14-04-2024 0.0036
Navi Liquid Fund 15-04-2024 0.0022
Navi Liquid Fund 16-04-2024 0.0019
Navi Liquid Fund 17-04-2024 0.0017
Navi Liquid Fund 18-04-2024 0.0017
Navi Liquid Fund 19-04-2024 0.0015
Navi Liquid Fund 21-04-2024 0.0036
Navi Liquid Fund 22-04-2024 0.0018
Navi Liquid Fund 23-04-2024 0.0018
Navi Liquid Fund 24-04-2024 0.0016
Navi Liquid Fund 25-04-2024 0.0009
Navi Liquid Fund 26-04-2024 0.0014
Navi Liquid Fund 28-04-2024 0.0037
Navi Liquid Fund 29-04-2024 0.0015
Navi Liquid Fund 30-04-2024 0.0016
Navi Liquid Fund 01-05-2024 0.0018
Navi Liquid Fund 02-05-2024 0.002
Navi Liquid Fund 03-05-2024 0.0022
Navi Liquid Fund 05-05-2024 0.0036
Navi Liquid Fund 06-05-2024 0.0015
Navi Liquid Fund 07-05-2024 0.0014
Navi Liquid Fund 08-05-2024 0.0012
Navi Liquid Fund 09-05-2024 0.0016
Navi Liquid Fund 10-05-2024 0.0015
Navi Liquid Fund 12-05-2024 0.0038
Navi Liquid Fund 13-05-2024 0.0019
Navi Liquid Fund 14-05-2024 0.002
Navi Liquid Fund 15-05-2024 0.0021
Navi Liquid Fund 16-05-2024 0.0019
Navi Liquid Fund 17-05-2024 0.002
Navi Liquid Fund 20-05-2024 0.0056
Navi Liquid Fund 21-05-2024 0.0025
Navi Liquid Fund 22-05-2024 0.0019
Navi Liquid Fund 23-05-2024 0.0018
Navi Liquid Fund 24-05-2024 0.002
Navi Liquid Fund 26-05-2024 0.0037
Navi Liquid Fund 27-05-2024 0.0019
Navi Liquid Fund 28-05-2024 0.0018
Navi Liquid Fund 29-05-2024 0.0018
Navi Liquid Fund 30-05-2024 0.0019
Navi Liquid Fund 31-05-2024 0.0016
Navi Liquid Fund 02-06-2024 0.0034
Navi Liquid Fund 03-06-2024 0.002
Navi Liquid Fund 04-06-2024 0.0018
Navi Liquid Fund 05-06-2024 0.0017
Navi Liquid Fund 06-06-2024 0.0019
Navi Liquid Fund 07-06-2024 0.0019
Navi Liquid Fund 09-06-2024 0.0036
Navi Liquid Fund 10-06-2024 0.0018
Navi Liquid Fund 11-06-2024 0.002
Navi Liquid Fund 12-06-2024 0.0018
Navi Liquid Fund 13-06-2024 0.0018
Navi Liquid Fund 14-06-2024 0.0018
Navi Liquid Fund 17-06-2024 0.0055
Navi Liquid Fund 18-06-2024 0.0016
Navi Liquid Fund 19-06-2024 0.0019
Navi Liquid Fund 20-06-2024 0.0019
Navi Liquid Fund 21-06-2024 0.0018
Navi Liquid Fund 23-06-2024 0.0036
Navi Liquid Fund 24-06-2024 0.0017
Navi Liquid Fund 25-06-2024 0.0017
Navi Liquid Fund 26-06-2024 0.0015
Navi Liquid Fund 27-06-2024 0.0017
Navi Liquid Fund 28-06-2024 0.0023
Navi Liquid Fund 30-06-2024 0.0036
Navi Liquid Fund 01-07-2024 0.001

Alternative Funds From Category

Scheme Name Asset Size 1M 3M 6M 1Y 3Y
Aditya Birla Sun Life Liquid Fund -Institutional - IDCW 52.33 7.41 7.6 7.71 7.59 5.9
BANK OF INDIA Liquid Fund- Regular Plan- Daily IDCW 1.88 7.13 7.3 7.45 7.35 5.81
Axis Liquid Fund - Regular Plan - Daily IDCW 132.57 7.03 7.23 7.42 7.32 5.79
CANARA ROBECO LIQUID FUND - REGULAR PLAN - WEEKLY IDCW (Payout/Reinvestment) 0.67 7.09 7.26 7.39 7.3 5.76
Invesco India Liquid Fund - Daily IDCW (Reinvestment) 264.89 7.07 7.23 7.4 7.3 5.75
HSBC Liquid Fund - IDCW 78.22 7.05 7.2 7.38 7.29 5.36
DSP Liquidity Fund- Regular Plan - IDCW - Daily 52.66 7.06 7.21 7.38 7.28 5.73
Franklin India Liquid Fund - Super Institutional Plan - Daily - IDCW 151.04 7.08 7.25 7.37 7.28 5.74
ICICI Prudential Liquid Fund - Daily IDCW 2564.81 7.08 7.27 7.4 7.27 5.71
LIC MF Liquid Fund-Regular Plan-Daily IDCW 1900.05 7.12 7.24 7.37 7.25 5.67

Other Funds From - Navi Liquid Fund(DD-IDCW)-Direct Plan

Scheme Name Asset Size 1M 3M 6M 1Y 3Y
Navi Nifty 50 Index Fund-Regular Plan-Growth 1921.4 7.29 7.91 11.57 26.81 0
Navi Nifty 50 Index Fund-Regular Plan-Growth 1846.8 7.29 7.91 11.57 26.81 0
Navi Nifty 50 Index Fund-Regular Plan-Growth 1686.21 7.29 7.91 11.57 26.81 0
Navi Nifty 50 Index Fund-Regular Plan-Growth 1529.14 7.29 7.91 11.57 26.81 0
Navi Nifty 50 Index Fund-Regular Plan-Growth 1467.47 7.29 7.91 11.57 26.81 0
Navi Nifty 50 Index Fund-Regular Plan-Growth 1381 7.29 7.91 11.57 26.81 0
Navi Nifty 50 Index Fund-Regular Plan-Growth 1184.23 7.29 7.91 11.57 26.81 0
Navi Nifty 50 Index Fund-Regular Plan-Growth 1061.37 7.29 7.91 11.57 26.81 0
Navi Nifty 50 Index Fund-Regular Plan-Growth 1005.65 7.29 7.91 11.57 26.81 0
Navi NASDAQ 100 Fund of Fund- Regular- Growth 940.34 79.69 33.69 35.71 32.83 0