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360 ONE Liquid Fund(DD-IDCW)-Direct Plan

Scheme Returns

6.76%

Category Returns

6.85%

Trailing Returns

1 Day 1 week 1 Mth 3 Mth 1 Yrs 3 Yrs 4 Yrs 5 Yrs Since Inception
360 ONE Liquid Fund(DD-IDCW)-Direct Plan 0.01 0.13 0.56 1.81 7.15 5.44 4.81 4.60 3.49
Debt - Liquid Fund 5.50 6.88 6.85 7.38 7.15 5.48 4.91 5.09 6.37

* 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

    360 ONE Asset Management Limited

  • Fund

    360 ONE Mutual Fund

Snapshot

  • Inception Date

    13-Nov-2013

  • Initial Price

    ₹1,000

  • Entry Load

    --

  • Size of Fund(in Cr.)

    --

  • Scheme Plan

    --

  • Scheme Class

    Debt - Liquid Fund

  • Objectives

    To provide liquidity with reasonable returns in commensuration with low risk through a portfolio of money market and debt securities with residual maturity of up to 91days. However, there can be no assurance that the investment objective of the Scheme will be achieved.

  • Scheme Type

    Open ended scheme

  • Min. Investment

    ₹5,000

  • Exit Load

    0.007

  • Latest NAV

    1000.2141

  • Fund Manager

    Mr. Milan Mody

  • Fund Manager Profile

    He has joined ITI Asset Management Limited in November 2017 and has over 16 years of work experience in Fund Management and Dealing in Fixed Income Market.Past Experience: Last designation - Product & Investment Manager - ZyFin Research Private Ltd from Nov 2015 to October 2017. He was managing Indian Fixed Income ETFs covering Indian Sovereign Bond ETF and PSU Corporate Bond ETF with a total assets over USD 75 million, other managed ETFs include Zyfin Turkey Sovereign Bond ETF and Zyfin MSCI India ETF in collaboration with foreign institutional players. During his tenure he was responsible for Fund Management and Product Development covering fixed income markets.

Riskometer

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

  • AMC

    360 ONE Asset Management Limited

  • Address

    IIFL Centre, 3rd Floor Annex, Kamala City, Senapati Bapat Marg, Lower Parel, Mumbai - 400 013

  • Phone

    022-42499000

  • Fax

    (044) 28291521

  • Email

    service@360.one

  • Website

    www.iiflmf.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
Net Receivables / (Payables) 267.57 0.32
TREPS 7552.19 9.08
Corporate Debt Market Development Fund - Class A2 # 149.69 0.26
8.1% REC Limited (25/06/2024) ** 2501.17 3.47
6.4% National Bank For Agriculture and Rural Development (31/07/2023) ** 2498.3 3
5.32% National Housing Bank (01/09/2023) ** 2492.97 3
4.64% Oil & Natural Gas Corporation Limited (21/11/2023) ** 2486.8 4.94
7.5% Muthoot Finance Limited (16/10/2023) ** 2497.83 3.14
5.35% National Housing Bank (12/02/2024) 2493.15 3.27
5.44% National Bank For Agriculture and Rural Development (05/02/2024) ** 2499.36 3.45
Bajaj Finance Limited (10/10/2023) (ZCB) ** 297.03 0.4
6.17% Muthoot Finance Limited (23/02/2024) ** 1497.82 2.07
6.69% Government of India (27/06/2024) 4996.81 6.94
HDFC Bank Limited (17/07/2023) # 2492.55 3
Canara Bank (27/07/2023) ** # 2487.85 2.99
HDFC Bank Limited (11/08/2023) ** # 2480.8 2.98
Housing Development Finance Corporation Limited (25/07/2023) ** 2488.39 2.99
Export Import Bank of India (29/08/2023) ** # 4974.08 6.26
Small Industries Dev Bank of India (01/09/2023) ** # 2470.91 2.97
Axis Bank Limited (07/09/2023) # 2482.76 3.12
ICICI Bank Limited (11/09/2023) # 2466.43 2.97
Small Industries Dev Bank of India (21/11/2023) ** # 2461.5 4.89
Axis Bank Limited (15/11/2023) ** # 2464.55 4.9
HDFC Bank Limited (14/12/2023) # 2465.41 3.34
ICICI Bank Limited (30/11/2023) ** # 2471.82 3.34
Kotak Mahindra Bank Limited (27/12/2023) # 2487.46 4.93
ICICI Bank Limited (29/12/2023) ** # 2472.13 4.36
Kotak Mahindra Bank Limited (17/01/2024) ** # 2492.01 3.27
National Bank For Agriculture and Rural Development (23/01/2024) # 2488.96 3.27
182 Days Tbill (MD 28/07/2023) 497.57 0.6
Small Industries Dev Bank of India (31/01/2024) ** # 2469.64 4.89
364 Days Tbill (MD 18/01/2024) 2492.05 3.27
Axis Bank Limited (14/02/2024) ** # 2462.81 4.88
Indian Bank (05/02/2024) ** # 2467.32 4.89
182 Days Tbill (MD 17/08/2023) 2478.46 2.98
182 Days Tbill (MD 03/08/2023) 2981.82 3.59
182 Days Tbill (MD 24/08/2023) 4950.82 5.95
182 Days Tbill (MD 14/09/2023) 4960.42 6.24
Small Industries Dev Bank of India (27/03/2024) ** # 2472.36 3.41
Aditya Birla Finance Limited (14/06/2024) (ZCB) ** 791 0.97
Bajaj Finance Limited (13/07/2023) ** 2494.18 3
Cholamandalam Investment and Finance Company Ltd (30/10/2023) 2455.91 3.09
Network18 Media & Investments Limited (25/07/2023) ** 2488.55 2.99
Small Industries Dev Bank of India (24/04/2024) # 2455.88 3.39
91 Days Tbill (MD 27/07/2023) 2488.3 2.99
Kotak Mahindra Bank Limited (26/04/2024) ** # 4941.9 7.23
Axis Finance Limited (27/07/2023) ** 2487.41 2.99
NTPC Limited (31/07/2023) ** 2485.96 2.99
ICICI Bank Limited (30/04/2024) # 4937.51 7.23
Canara Bank (07/08/2023) ** # 2482.51 2.99
Sikka Ports and Terminals Limited (14/08/2023) 2493.87 3.14
Small Industries Dev Bank of India (20/11/2023) 2476.09 3.35
Tata Capital Financial Services Limited (31/07/2023) ** 2485.5 2.99
364 Days Tbill (MD 09/05/2024) 2468.04 3.61
Reliance Retail Ventures Limited (01/09/2023) ** 4940.88 5.94
91 Days Tbill (MD 07/09/2023) 2469.29 2.97
National Bank For Agriculture and Rural Development (04/09/2023) 4938.44 5.94
Sundaram Finance Limited (05/09/2023) ** 4936.45 5.94
Small Industries Dev Bank of India (08/09/2023) ** 2467.31 2.97
Small Industries Dev Bank of India (21/06/2024) # 2475.19 3.44
Shriram Finance Limited (21/09/2023) ** 2458.41 2.96
Canara Bank (26/09/2023) ** # 2459.18 2.96
Godrej Industries Limited (25/09/2023) ** 2458.7 2.96
Bank of Baroda (12/10/2023) ** # 4932.48 6.21
HDFC Bank Limited (21/05/2024) 2473.51 3.04
HDFC Bank Limited (26/02/2024) 2470.44 3.24
HDFC Bank Limited (22/03/2024) ** 2488.96 3.64
HDFC Bank Limited (14/02/2024) 2460.42 4.88
91 Days Tbill (MD 19/10/2023) 4983.54 6.74
Larsen & Toubro Limited (17/10/2023) ** 2463.83 3.1
Canara Bank (25/10/2023) ** # 2460.18 3.1
Indian Bank (25/10/2023) # 4920.2 6.19
JM Financial Products Limited (04/08/2023) ** 2498.38 3.14
Canara Bank (30/10/2023) ** # 2486.08 3.36
Axis Bank Limited (27/02/2024) ** # 4943.15 6.49
Sikka Ports and Terminals Limited (13/11/2023) ** 2479.12 3.35
Axis Finance Limited (31/10/2023) ** 2470.3 4.91
Network18 Media & Investments Limited (07/11/2023) ** 2467.84 4.91
Godrej Industries Limited (02/11/2023) ** 2484.34 3.36
Bank of Baroda (23/11/2023) ** # 2460.94 4.89
182 Days Tbill (MD 22/02/2024) 2461.07 4.88
Indian Bank (24/11/2023) ** # 2460.09 4.89
Sundaram Home Finance Limited (28/02/2024) ** 2470.48 3.24
National Bank For Agriculture and Rural Development (28/11/2023) ** 2458.16 4.89
91 Days Tbill (MD 07/12/2023) 4939.12 6.68
Canara Bank (01/02/2024) # 2500 3.45
Punjab National Bank (03/10/2023) # 2499.04 3.38
Canara Bank (05/12/2023) ** # 2469.29 3.34
National Bank For Agriculture and Rural Development (08/12/2023) 2467.59 3.34
Godrej Industries Limited (12/10/2023) ** 2494.61 3.37
Shriram Finance Limited (14/12/2023) ** 2461.06 3.33
HDFC Bank Limited (14/06/2024) # 2478.64 3.44
91 Days Tbill (MD 29/12/2023) 2459.44 3.33
HDB Financial Services Limited (04/12/2023) ** 2468.26 3.34
Larsen & Toubro Limited (29/12/2023) ** 2471.82 4.36
Canara Bank (04/01/2024) ** # 2468.47 4.35
91 Days Tbill (MD 04/01/2024) 2470.24 4.36
REC Limited (01/03/2024) 4940.27 6.48
National Bank For Agriculture and Rural Development (17/01/2024) 2476.34 4.91
91 Days Tbill (MD 18/01/2024) 2463.64 4.34
Bank of Baroda (18/01/2024) ** # 2461.76 4.34
Tata Capital Financial Services Limited (19/01/2024) ** 2459.02 4.34
Cholamandalam Investment and Finance Company Ltd (22/01/2024) ** 1482.82 2.94
182 Days Tbill (MD 09/05/2024) 2468.04 3.61
182 Days Tbill (MD 16/05/2024) 2464.69 3.61
Indian Bank (31/01/2024) ** # 2469.77 4.89
Bank of Baroda (15/02/2024) ** # 2462.52 4.88
Punjab National Bank (20/02/2024) ** # 2475.02 3.25
Axis Bank Limited (21/06/2024) ** # 4917.61 6.04
91 Days Tbill (MD 29/02/2024) 2487.06 3.43
Reliance Retail Ventures Limited (01/03/2024) 2469.71 3.24
Canara Bank (15/03/2024) ** # 2463.29 3.23
182 Days Tbill (MD 06/06/2024) 3457.01 4.25
Bank of Baroda (17/05/2024) # 2460.04 3.6
Bank of Baroda (20/03/2024) ** # 2460.98 3.23
Canara Bank (26/03/2024) ** # 2457.93 3.23
Punjab National Bank (02/04/2024) # 2499.5 3.07
Reliance Retail Ventures Limited (22/03/2024) 2474.91 3.41
Reliance Industries Limited (14/03/2024) ** 4957.9 6.84
Bajaj Finance Limited (18/04/2024) ** 2456.47 3.39
91 Days Tbill (MD 18/04/2024) 1486.57 2.18
National Bank For Agriculture and Rural Development (25/04/2024) ** 2455.64 3.39
Bajaj Finance Limited (19/04/2024) 2472.45 3.62
91 Days Tbill (MD 16/05/2024) 2479.44 3.05
Canara Bank (08/05/2024) ** # 2464.65 3.61
Indian Bank (21/05/2024) ** # 4915.73 7.19
Reliance Retail Ventures Limited (03/06/2024) ** 2467.51 3.03
Canara Bank (05/06/2024) ** # 2466.94 3.03
HDB Financial Services Limited (05/06/2024) ** 2465.2 3.03
Reliance Jio Infocomm Limited (25/06/2024) ** 2456.98 3.02
Axis Bank Limited (25/06/2024) ** # 2456.81 3.02
Larsen & Toubro Limited (30/05/2024) ** 4938.14 6.07
Axis Finance Limited (14/06/2024) 4918.24 6.04
91 Days Tbill (MD 04/07/2024) 4445.67 6.17
91 Days Tbill (MD 25/07/2024) 1328.36 1.84
Indian Bank (24/07/2024) ** # 2459 3.41
Punjab National Bank (24/07/2024) ** # 4918.23 6.83

Divident Details

Scheme Name Date Dividend (%)
360 ONE Liquid Fund 19-07-2023 0.1823
360 ONE Liquid Fund 20-07-2023 0.1783
360 ONE Liquid Fund 21-07-2023 0.1807
360 ONE Liquid Fund 23-07-2023 0.3607
360 ONE Liquid Fund 24-07-2023 0.1797
360 ONE Liquid Fund 25-07-2023 0.1789
360 ONE Liquid Fund 26-07-2023 0.18
360 ONE Liquid Fund 27-07-2023 0.1805
360 ONE Liquid Fund 28-07-2023 0.1977
360 ONE Liquid Fund 30-07-2023 0.3622
360 ONE Liquid Fund 31-07-2023 0.2197
360 ONE Liquid Fund 01-08-2023 0.1809
360 ONE Liquid Fund 02-08-2023 0.1805
360 ONE Liquid Fund 03-08-2023 0.1795
360 ONE Liquid Fund 04-08-2023 0.1761
360 ONE Liquid Fund 06-08-2023 0.3601
360 ONE Liquid Fund 07-08-2023 0.1799
360 ONE Liquid Fund 08-08-2023 0.1793
360 ONE Liquid Fund 09-08-2023 0.1811
360 ONE Liquid Fund 10-08-2023 0.1511
360 ONE Liquid Fund 11-08-2023 0.1801
360 ONE Liquid Fund 13-08-2023 0.3617
360 ONE Liquid Fund 14-08-2023 0.1673
360 ONE Liquid Fund 16-08-2023 0.3668
360 ONE Liquid Fund 17-08-2023 0.1269
360 ONE Liquid Fund 18-08-2023 0.1892
360 ONE Liquid Fund 20-08-2023 0.3672
360 ONE Liquid Fund 21-08-2023 0.1769
360 ONE Liquid Fund 22-08-2023 0.1775
360 ONE Liquid Fund 23-08-2023 0.189
360 ONE Liquid Fund 24-08-2023 0.1865
360 ONE Liquid Fund 25-08-2023 0.1791
360 ONE Liquid Fund 27-08-2023 0.3588
360 ONE Liquid Fund 28-08-2023 0.1693
360 ONE Liquid Fund 29-08-2023 0.1727
360 ONE Liquid Fund 30-08-2023 0.1788
360 ONE Liquid Fund 31-08-2023 0.1787
360 ONE Liquid Fund 01-09-2023 0.2542
360 ONE Liquid Fund 03-09-2023 0.3668
360 ONE Liquid Fund 04-09-2023 0.1766
360 ONE Liquid Fund 05-09-2023 0.1796
360 ONE Liquid Fund 06-09-2023 0.1867
360 ONE Liquid Fund 07-09-2023 0.1754
360 ONE Liquid Fund 10-09-2023 0.3702
360 ONE Liquid Fund 11-09-2023 0.1669
360 ONE Liquid Fund 12-09-2023 0.1355
360 ONE Liquid Fund 13-09-2023 0.1913
360 ONE Liquid Fund 14-09-2023 0.2413
360 ONE Liquid Fund 15-09-2023 0.1801
360 ONE Liquid Fund 17-09-2023 0.3726
360 ONE Liquid Fund 18-09-2023 0.1674
360 ONE Liquid Fund 19-09-2023 0.1864
360 ONE Liquid Fund 20-09-2023 0.186
360 ONE Liquid Fund 21-09-2023 0.1901
360 ONE Liquid Fund 22-09-2023 0.1884
360 ONE Liquid Fund 24-09-2023 0.3724
360 ONE Liquid Fund 25-09-2023 0.179
360 ONE Liquid Fund 26-09-2023 0.132
360 ONE Liquid Fund 27-09-2023 0.217
360 ONE Liquid Fund 28-09-2023 0.1735
360 ONE Liquid Fund 29-09-2023 0.2475
360 ONE Liquid Fund 02-10-2023 0.5492
360 ONE Liquid Fund 03-10-2023 0.1831
360 ONE Liquid Fund 04-10-2023 0.1822
360 ONE Liquid Fund 05-10-2023 0.1827
360 ONE Liquid Fund 06-10-2023 0.1824
360 ONE Liquid Fund 08-10-2023 0.3651
360 ONE Liquid Fund 09-10-2023 0.1814
360 ONE Liquid Fund 10-10-2023 0.1821
360 ONE Liquid Fund 11-10-2023 0.1831
360 ONE Liquid Fund 12-10-2023 0.1854
360 ONE Liquid Fund 13-10-2023 0.1826
360 ONE Liquid Fund 15-10-2023 0.3644
360 ONE Liquid Fund 16-10-2023 0.212
360 ONE Liquid Fund 17-10-2023 0.1824
360 ONE Liquid Fund 18-10-2023 0.1767
360 ONE Liquid Fund 19-10-2023 0.1818
360 ONE Liquid Fund 20-10-2023 0.1523
360 ONE Liquid Fund 22-10-2023 0.3679
360 ONE Liquid Fund 23-10-2023 0.1845
360 ONE Liquid Fund 24-10-2023 0.1878
360 ONE Liquid Fund 25-10-2023 0.1769
360 ONE Liquid Fund 26-10-2023 0.1877
360 ONE Liquid Fund 27-10-2023 0.184
360 ONE Liquid Fund 29-10-2023 0.3663
360 ONE Liquid Fund 30-10-2023 0.1814
360 ONE Liquid Fund 31-10-2023 0.1748
360 ONE Liquid Fund 01-11-2023 0.1814
360 ONE Liquid Fund 02-11-2023 0.1835
360 ONE Liquid Fund 03-11-2023 0.189
360 ONE Liquid Fund 05-11-2023 0.3657
360 ONE Liquid Fund 06-11-2023 0.1817
360 ONE Liquid Fund 07-11-2023 0.1873
360 ONE Liquid Fund 08-11-2023 0.1841
360 ONE Liquid Fund 09-11-2023 0.1842
360 ONE Liquid Fund 10-11-2023 0.1846
360 ONE Liquid Fund 12-11-2023 0.3661
360 ONE Liquid Fund 13-11-2023 0.1829
360 ONE Liquid Fund 14-11-2023 0.1851
360 ONE Liquid Fund 15-11-2023 0.1835
360 ONE Liquid Fund 16-11-2023 0.183
360 ONE Liquid Fund 17-11-2023 0.1842
360 ONE Liquid Fund 19-11-2023 0.3689
360 ONE Liquid Fund 20-11-2023 0.1831
360 ONE Liquid Fund 21-11-2023 0.2892
360 ONE Liquid Fund 22-11-2023 0.1849
360 ONE Liquid Fund 23-11-2023 0.1976
360 ONE Liquid Fund 24-11-2023 0.1663
360 ONE Liquid Fund 27-11-2023 0.5756
360 ONE Liquid Fund 28-11-2023 0.1953
360 ONE Liquid Fund 29-11-2023 0.1792
360 ONE Liquid Fund 30-11-2023 0.1873
360 ONE Liquid Fund 01-12-2023 0.1735
360 ONE Liquid Fund 03-12-2023 0.3759
360 ONE Liquid Fund 04-12-2023 0.1713
360 ONE Liquid Fund 05-12-2023 0.1979
360 ONE Liquid Fund 06-12-2023 0.1894
360 ONE Liquid Fund 07-12-2023 0.214
360 ONE Liquid Fund 08-12-2023 0.1875
360 ONE Liquid Fund 10-12-2023 0.381
360 ONE Liquid Fund 11-12-2023 0.1491
360 ONE Liquid Fund 12-12-2023 0.1564
360 ONE Liquid Fund 13-12-2023 0.1669
360 ONE Liquid Fund 14-12-2023 0.1605
360 ONE Liquid Fund 15-12-2023 0.1489
360 ONE Liquid Fund 17-12-2023 0.3908
360 ONE Liquid Fund 18-12-2023 0.1772
360 ONE Liquid Fund 19-12-2023 0.2025
360 ONE Liquid Fund 20-12-2023 0.187
360 ONE Liquid Fund 21-12-2023 0.2
360 ONE Liquid Fund 22-12-2023 0.1926
360 ONE Liquid Fund 25-12-2023 0.5834
360 ONE Liquid Fund 26-12-2023 0.1687
360 ONE Liquid Fund 27-12-2023 0.1873
360 ONE Liquid Fund 28-12-2023 0.2598
360 ONE Liquid Fund 29-12-2023 0.3238
360 ONE Liquid Fund 31-12-2023 0.3806
360 ONE Liquid Fund 01-01-2024 0.1895
360 ONE Liquid Fund 02-01-2024 0.1877
360 ONE Liquid Fund 03-01-2024 0.1909
360 ONE Liquid Fund 04-01-2024 0.1849
360 ONE Liquid Fund 05-01-2024 0.1866
360 ONE Liquid Fund 07-01-2024 0.3732
360 ONE Liquid Fund 08-01-2024 0.194
360 ONE Liquid Fund 09-01-2024 0.1884
360 ONE Liquid Fund 10-01-2024 0.1855
360 ONE Liquid Fund 11-01-2024 0.1927
360 ONE Liquid Fund 12-01-2024 0.186
360 ONE Liquid Fund 14-01-2024 0.3713
360 ONE Liquid Fund 15-01-2024 0.1828
360 ONE Liquid Fund 16-01-2024 0.187
360 ONE Liquid Fund 17-01-2024 0.1658
360 ONE Liquid Fund 18-01-2024 0.1864
360 ONE Liquid Fund 19-01-2024 0.1881
360 ONE Liquid Fund 22-01-2024 0.5565
360 ONE Liquid Fund 23-01-2024 0.1887
360 ONE Liquid Fund 24-01-2024 0.1853
360 ONE Liquid Fund 25-01-2024 0.1843
360 ONE Liquid Fund 28-01-2024 0.558
360 ONE Liquid Fund 29-01-2024 0.2815
360 ONE Liquid Fund 30-01-2024 0.1865
360 ONE Liquid Fund 31-01-2024 0.1832
360 ONE Liquid Fund 01-02-2024 0.1855
360 ONE Liquid Fund 02-02-2024 0.1818
360 ONE Liquid Fund 04-02-2024 0.3705
360 ONE Liquid Fund 05-02-2024 0.2584
360 ONE Liquid Fund 06-02-2024 0.1752
360 ONE Liquid Fund 07-02-2024 0.1913
360 ONE Liquid Fund 08-02-2024 0.1898
360 ONE Liquid Fund 09-02-2024 0.1921
360 ONE Liquid Fund 11-02-2024 0.3843
360 ONE Liquid Fund 12-02-2024 0.2987
360 ONE Liquid Fund 13-02-2024 0.1986
360 ONE Liquid Fund 14-02-2024 0.1908
360 ONE Liquid Fund 15-02-2024 0.1926
360 ONE Liquid Fund 16-02-2024 0.1943
360 ONE Liquid Fund 19-02-2024 0.5804
360 ONE Liquid Fund 20-02-2024 0.1927
360 ONE Liquid Fund 21-02-2024 0.1961
360 ONE Liquid Fund 22-02-2024 0.1903
360 ONE Liquid Fund 23-02-2024 0.2896
360 ONE Liquid Fund 25-02-2024 0.3959
360 ONE Liquid Fund 26-02-2024 0.1913
360 ONE Liquid Fund 27-02-2024 0.1962
360 ONE Liquid Fund 28-02-2024 0.1961
360 ONE Liquid Fund 29-02-2024 0.2094
360 ONE Liquid Fund 01-03-2024 0.204
360 ONE Liquid Fund 03-03-2024 0.3896
360 ONE Liquid Fund 04-03-2024 0.1952
360 ONE Liquid Fund 05-03-2024 0.1957
360 ONE Liquid Fund 06-03-2024 0.1961
360 ONE Liquid Fund 07-03-2024 0.2031
360 ONE Liquid Fund 10-03-2024 0.5897
360 ONE Liquid Fund 11-03-2024 0.1883
360 ONE Liquid Fund 12-03-2024 0.1846
360 ONE Liquid Fund 13-03-2024 0.1987
360 ONE Liquid Fund 14-03-2024 0.2107
360 ONE Liquid Fund 15-03-2024 0.1983
360 ONE Liquid Fund 17-03-2024 0.3965
360 ONE Liquid Fund 18-03-2024 0.1981
360 ONE Liquid Fund 19-03-2024 0.1974
360 ONE Liquid Fund 20-03-2024 0.1985
360 ONE Liquid Fund 21-03-2024 0.1434
360 ONE Liquid Fund 22-03-2024 0.1615
360 ONE Liquid Fund 25-03-2024 0.6033
360 ONE Liquid Fund 26-03-2024 0.1038
360 ONE Liquid Fund 27-03-2024 0.1439
360 ONE Liquid Fund 28-03-2024 0.4231
360 ONE Liquid Fund 31-03-2024 0.6026
360 ONE Liquid Fund 01-04-2024 0.2007
360 ONE Liquid Fund 02-04-2024 0.2003
360 ONE Liquid Fund 03-04-2024 0.2222
360 ONE Liquid Fund 04-04-2024 0.1904
360 ONE Liquid Fund 05-04-2024 0.2067
360 ONE Liquid Fund 07-04-2024 0.3987
360 ONE Liquid Fund 08-04-2024 0.2009
360 ONE Liquid Fund 09-04-2024 0.1982
360 ONE Liquid Fund 10-04-2024 0.2023
360 ONE Liquid Fund 11-04-2024 0.1979
360 ONE Liquid Fund 12-04-2024 0.197
360 ONE Liquid Fund 14-04-2024 0.3962
360 ONE Liquid Fund 15-04-2024 0.2275
360 ONE Liquid Fund 16-04-2024 0.2069
360 ONE Liquid Fund 17-04-2024 0.1975
360 ONE Liquid Fund 18-04-2024 0.0957
360 ONE Liquid Fund 19-04-2024 0.1929
360 ONE Liquid Fund 21-04-2024 0.3959
360 ONE Liquid Fund 22-04-2024 0.1985
360 ONE Liquid Fund 23-04-2024 0.2269
360 ONE Liquid Fund 24-04-2024 0.217
360 ONE Liquid Fund 25-04-2024 0.196
360 ONE Liquid Fund 26-04-2024 0.1979
360 ONE Liquid Fund 28-04-2024 0.3904
360 ONE Liquid Fund 29-04-2024 0.1688
360 ONE Liquid Fund 30-04-2024 0.1946
360 ONE Liquid Fund 01-05-2024 0.1952
360 ONE Liquid Fund 02-05-2024 0.1961
360 ONE Liquid Fund 03-05-2024 0.2404
360 ONE Liquid Fund 05-05-2024 0.3798
360 ONE Liquid Fund 06-05-2024 0.1369

Alternative Funds From Category

Scheme Name Asset Size 1M 3M 6M 1Y 3Y
quant Liquid Fund-Daily IDCW Option - Regular Plan 0.05 6.3 6.17 7.1 8.03 5.82
Aditya Birla Sun Life Liquid Fund -Institutional - IDCW 52.33 7.25 7.87 7.72 7.56 5.68
BANK OF INDIA Liquid Fund- Regular Plan- Daily IDCW 1.88 6.97 7.56 7.46 7.32 5.6
Axis Liquid Fund - Regular Plan - Daily IDCW 132.57 6.95 7.62 7.44 7.28 5.59
CANARA ROBECO LIQUID FUND - REGULAR PLAN - WEEKLY IDCW (Payout/Reinvestment) 0.67 6.89 7.52 7.4 7.26 5.54
Invesco India Liquid Fund - Daily IDCW (Reinvestment) 264.89 6.87 7.54 7.4 7.25 5.55
HSBC Liquid Fund - IDCW 78.22 6.89 7.54 7.4 7.25 5.12
DSP Liquidity Fund- Regular Plan - IDCW - Daily 52.66 6.88 7.52 7.39 7.24 5.53
ICICI Prudential Liquid Fund - Daily IDCW 2564.81 6.91 7.56 7.41 7.22 5.51
Franklin India Liquid Fund - Super Institutional Plan - Daily - IDCW 151.04 6.88 7.51 7.37 7.22 5.52

Other Funds From - 360 ONE Liquid Fund(DD-IDCW)-Direct Plan

Scheme Name Asset Size 1M 3M 6M 1Y 3Y
360 ONE Focused Equity Fund -Regular Plan - Growth 6794.35 0.77 5.05 19.99 36.37 21.02
360 ONE Focused Equity Fund -Regular Plan - Growth 6636.2 0.77 5.05 19.99 36.37 21.02
360 ONE Focused Equity Fund -Regular Plan - Growth 6266.06 0.77 5.05 19.99 36.37 21.02
360 ONE Focused Equity Fund -Regular Plan - Growth 6147.44 0.77 5.05 19.99 36.37 21.02
360 ONE Focused Equity Fund -Regular Plan - Growth 5659.25 0.77 5.05 19.99 36.37 21.02
360 ONE Focused Equity Fund -Regular Plan - Growth 4886.84 0.77 5.05 19.99 36.37 21.02
360 ONE Focused Equity Fund -Regular Plan - Growth 4629.87 0.77 5.05 19.99 36.37 21.02
360 ONE Focused Equity Fund -Regular Plan - Growth 4437.65 0.77 5.05 19.99 36.37 21.02
360 ONE Focused Equity Fund -Regular Plan - Growth 4336.64 0.77 5.05 19.99 36.37 21.02
360 ONE Focused Equity Fund -Regular Plan - Growth 4085.48 0.77 5.05 19.99 36.37 21.02