Menu
Close X
ITI Liquid Fund-Reg(DD-IDCW)

Scheme Returns

6.45%

Category Returns

7%

Trailing Returns

1 Day 1 week 1 Mth 3 Mth 1 Yrs 3 Yrs 4 Yrs 5 Yrs Since Inception
ITI Liquid Fund-Reg(DD-IDCW) 0.02 0.13 0.55 1.65 6.85 5.52 4.86 4.53 4.53
Debt - Liquid Fund 6.66 7.05 7.00 6.86 7.20 5.75 5.09 5.10 6.34

* 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

    ITI Asset Management Limited

  • Fund

    ITI Mutual Fund

Snapshot

  • Inception Date

    24-Apr-2019

  • Initial Price

    ₹1,000

  • Entry Load

    --

  • Size of Fund(in Cr.)

    --

  • Scheme Plan

    --

  • Scheme Class

    Debt - Liquid Fund

  • Objectives

    ITI Liquid Fund is an open ended liquid scheme that seeks to provide reasonable returns, commensurate with low risk while providing a high level of liquidity, through a portfolio of moneymarket and debt securities.

  • Scheme Type

    Open ended scheme

  • Min. Investment

    ₹5,000

  • Exit Load

    0.007

  • Latest NAV

    1001

  • Fund Manager

    Mr. Vikrant Mehta

  • Fund Manager Profile

    He has been working as Head - Fixed income in AIG Global Asset Management Company (India) Pvt. Ltd. He has also been Fund Manager - Fixed Income, AVP - Dealing, Fixed Income, Senior Manager - Dealing, Fixed Income in the same company. He has been with AIG India Liaison Office since December 2006. Prior to joining AIG, he has worked with NVS Brokerage Pvt. Ltd. from April 2003 - December 2006, JM Morgan Stanley Fixed Income Securities Pvt. Ltd. from July 2000 - April 2003, and with Mata Securities India Pvt. Ltd. from November 1994- July 2000.

Riskometer

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

  • AMC

    ITI Asset Management Limited

  • Address

    ITI House, 36, R K Shirodkar Marg, Parel Mumbai - 400 012

  • Phone

    022-69153500

  • Fax

    (040) 23311968

  • Email

    mfassist@itiorg.com

  • Website

    www.itiamc.com

  • Registrar Agent

  • Registrar

    KFin Technologies Limited

  • Address

    Selenium Building, Tower-B, Plot No 31 & 32 Financial District,Nanakramguda, Serilingampally Hyderabad - 500 032

  • Phone

    (040) 23312454 23320751 23320752

  • Fax

    (040) 23311968

  • Email

    customercare@karvy.com

  • Website

    https://mfs.kfintech.com/

Portfolio Details

Company Market Value hold percentage
Net Receivables / (Payables) 56.98 1.36
TREPS 03-Jul-2023 1611.41 38.33
SBI Funds Management Limited 10.88 0.32
8.85% Power Grid Corporation of India Limited (19/10/2023) 400.6 8.2
9.30% Power Grid Corporation of India Limited (28/06/2024) 500.54 8.84
8.5% Export Import Bank of India (08/07/2023) 350.07 8.33
9.39% LIC Housing Finance Limited (23/08/2024) 451.49 7.97
7.6% Axis Bank Limited (20/10/2023) 399.94 9
8.79% LIC Housing Finance Limited (05/03/2024) 700.07 8.2
8.02% Bharat Petroleum Corporation Limited (11/03/2024) 300 7.54
8.10% REC Limited (25/06/2024) 450.1 7.95
8.85% Bajaj Finance Limited (05/01/2024) 300.21 8.96
4.58% Small Industries Dev Bank of India (18/12/2023) 308.84 8.98
4.5% Oil & Natural Gas Corporation Limited (09/02/2024) 299.81 7.54
5.44% National Bank For Agriculture and Rural Development (05/02/2024) 299.31 8.48
6.69% Government of India (27/06/2024) 1499.04 39.22
HDFC Bank Limited (14/08/2023) 991.76 23.59
Canara Bank (18/08/2023) 398.74 8.53
364 Days Tbill (MD 07/09/2023) 1490.03 31.86
Bank of Baroda (15/11/2023) 443.64 9.08
Export Import Bank of India (14/03/2024) 822.93 9.64
Canara Bank (04/12/2023) 397.43 11.56
182 Days Tbill (MD 31/08/2023) 994.59 21.27
91 Days Tbill (MD 20/07/2023) 697.61 16.59
91 Days Tbill (MD 10/08/2023) 496.34 11.81
Punjab National Bank (07/03/2024) 799.07 9.36
Export Import Bank of India (10/06/2024) 499.14 8.81
ICICI Bank Limited (13/06/2024) 689.65 20.39
9.05% HDFC Bank Limited (20/11/2023) 401.01 8.21
7.28% HDFC Bank Limited (01/03/2024) 299.47 8.48
7.99% HDFC Bank Limited (11/07/2024) 199.98 3.16
91 Days Tbill (MD 05/10/2023) 499.64 11.24
Axis Bank Limited (11/03/2024) 823.41 9.64
Kotak Mahindra Bank Limited (27/09/2024) 589.84 9.33
ICICI Securities Limited (22/03/2024) 346.23 8.7
ICICI Bank Limited (18/09/2024) 590.88 9.35
Bank of Baroda (25/01/2024) 296.73 8.86
Bank of Baroda (17/05/2024) 787.21 9.22
Canara Bank (26/03/2024) 296.76 7.46
Bank of Baroda (13/06/2024) 548.74 9.69
Axis Bank Limited (13/05/2024) 297.42 8.79
ICICI Securities Limited (12/06/2024) 99.78 1.76
NTPC Limited (20/09/2024) 590.64 9.35
L&T Finance Limited (26/09/2024) 490.93 7.77

Divident Details

Scheme Name Date Dividend (%)
ITI Liquid Fund 13-03-2021 0.0825
ITI Liquid Fund 19-07-2023 0.1792
ITI Liquid Fund 20-07-2023 0.1699
ITI Liquid Fund 21-07-2023 0.1654
ITI Liquid Fund 22-07-2023 0.1716
ITI Liquid Fund 23-07-2023 0.1711
ITI Liquid Fund 24-07-2023 0.1721
ITI Liquid Fund 25-07-2023 0.1695
ITI Liquid Fund 26-07-2023 0.1903
ITI Liquid Fund 27-07-2023 0.1539
ITI Liquid Fund 28-07-2023 0.1683
ITI Liquid Fund 29-07-2023 0.1741
ITI Liquid Fund 30-07-2023 0.1737
ITI Liquid Fund 31-07-2023 0.1766
ITI Liquid Fund 01-08-2023 0.1926
ITI Liquid Fund 02-08-2023 0.1759
ITI Liquid Fund 03-08-2023 0.1838
ITI Liquid Fund 04-08-2023 0.1453
ITI Liquid Fund 05-08-2023 0.1691
ITI Liquid Fund 06-08-2023 0.1694
ITI Liquid Fund 07-08-2023 0.1624
ITI Liquid Fund 08-08-2023 0.1651
ITI Liquid Fund 09-08-2023 0.1725
ITI Liquid Fund 10-08-2023 0.1409
ITI Liquid Fund 11-08-2023 0.1633
ITI Liquid Fund 12-08-2023 0.173
ITI Liquid Fund 13-08-2023 0.1727
ITI Liquid Fund 14-08-2023 0.1577
ITI Liquid Fund 15-08-2023 0.1766
ITI Liquid Fund 16-08-2023 0.1765
ITI Liquid Fund 17-08-2023 0.1889
ITI Liquid Fund 18-08-2023 0.17
ITI Liquid Fund 19-08-2023 0.1753
ITI Liquid Fund 20-08-2023 0.1751
ITI Liquid Fund 21-08-2023 0.1734
ITI Liquid Fund 22-08-2023 0.1808
ITI Liquid Fund 23-08-2023 0.1777
ITI Liquid Fund 24-08-2023 0.1752
ITI Liquid Fund 25-08-2023 0.1754
ITI Liquid Fund 26-08-2023 0.1788
ITI Liquid Fund 27-08-2023 0.1786
ITI Liquid Fund 28-08-2023 0.186
ITI Liquid Fund 29-08-2023 0.1785
ITI Liquid Fund 30-08-2023 0.1747
ITI Liquid Fund 31-08-2023 0.1856
ITI Liquid Fund 01-09-2023 0.1904
ITI Liquid Fund 02-09-2023 0.1754
ITI Liquid Fund 03-09-2023 0.1755
ITI Liquid Fund 04-09-2023 0.1681
ITI Liquid Fund 05-09-2023 0.1664
ITI Liquid Fund 06-09-2023 0.1694
ITI Liquid Fund 07-09-2023 0.1586
ITI Liquid Fund 09-09-2023 0.1812
ITI Liquid Fund 10-09-2023 0.1808
ITI Liquid Fund 11-09-2023 0.1656
ITI Liquid Fund 12-09-2023 0.1475
ITI Liquid Fund 13-09-2023 0.2156
ITI Liquid Fund 14-09-2023 0.1907
ITI Liquid Fund 15-09-2023 0.1928
ITI Liquid Fund 16-09-2023 0.1815
ITI Liquid Fund 17-09-2023 0.1816
ITI Liquid Fund 18-09-2023 0.1783
ITI Liquid Fund 19-09-2023 0.182
ITI Liquid Fund 20-09-2023 0.1764
ITI Liquid Fund 21-09-2023 0.1842
ITI Liquid Fund 22-09-2023 0.1687
ITI Liquid Fund 23-09-2023 0.1822
ITI Liquid Fund 24-09-2023 0.1823
ITI Liquid Fund 25-09-2023 0.1838
ITI Liquid Fund 26-09-2023 0.1582
ITI Liquid Fund 27-09-2023 0.1146
ITI Liquid Fund 28-09-2023 0.2483
ITI Liquid Fund 29-09-2023 0.3524
ITI Liquid Fund 30-09-2023 0.1397
ITI Liquid Fund 01-10-2023 0.1398
ITI Liquid Fund 02-10-2023 0.1397
ITI Liquid Fund 03-10-2023 0.1909
ITI Liquid Fund 04-10-2023 0.2029
ITI Liquid Fund 05-10-2023 0.1756
ITI Liquid Fund 06-10-2023 0.1764
ITI Liquid Fund 07-10-2023 0.181
ITI Liquid Fund 08-10-2023 0.1811
ITI Liquid Fund 09-10-2023 0.1784
ITI Liquid Fund 10-10-2023 0.1754
ITI Liquid Fund 11-10-2023 0.1824
ITI Liquid Fund 12-10-2023 0.1812
ITI Liquid Fund 13-10-2023 0.1808
ITI Liquid Fund 14-10-2023 0.1819
ITI Liquid Fund 15-10-2023 0.1817
ITI Liquid Fund 16-10-2023 0.178
ITI Liquid Fund 17-10-2023 0.1803
ITI Liquid Fund 18-10-2023 0.1804
ITI Liquid Fund 19-10-2023 0.1752
ITI Liquid Fund 20-10-2023 0.1752
ITI Liquid Fund 21-10-2023 0.1799
ITI Liquid Fund 22-10-2023 0.1801
ITI Liquid Fund 23-10-2023 0.166
ITI Liquid Fund 24-10-2023 0.1871
ITI Liquid Fund 25-10-2023 0.1733
ITI Liquid Fund 26-10-2023 0.1784
ITI Liquid Fund 27-10-2023 0.1871
ITI Liquid Fund 28-10-2023 0.1809
ITI Liquid Fund 29-10-2023 0.1812
ITI Liquid Fund 30-10-2023 0.1874
ITI Liquid Fund 31-10-2023 0.1782
ITI Liquid Fund 01-11-2023 0.1781
ITI Liquid Fund 02-11-2023 0.1943
ITI Liquid Fund 03-11-2023 0.1808
ITI Liquid Fund 04-11-2023 0.1818
ITI Liquid Fund 05-11-2023 0.1816
ITI Liquid Fund 06-11-2023 0.181
ITI Liquid Fund 07-11-2023 0.1901
ITI Liquid Fund 08-11-2023 0.1836
ITI Liquid Fund 09-11-2023 0.1835
ITI Liquid Fund 10-11-2023 0.1788
ITI Liquid Fund 11-11-2023 0.1845
ITI Liquid Fund 12-11-2023 0.1844
ITI Liquid Fund 13-11-2023 0.1892
ITI Liquid Fund 14-11-2023 0.1842
ITI Liquid Fund 15-11-2023 0.1872
ITI Liquid Fund 16-11-2023 0.1845
ITI Liquid Fund 17-11-2023 0.1761
ITI Liquid Fund 18-11-2023 0.1847
ITI Liquid Fund 19-11-2023 0.1845
ITI Liquid Fund 20-11-2023 0.1797
ITI Liquid Fund 21-11-2023 0.1759
ITI Liquid Fund 22-11-2023 0.1736
ITI Liquid Fund 23-11-2023 0.1914
ITI Liquid Fund 24-11-2023 0.1837
ITI Liquid Fund 25-11-2023 0.1862
ITI Liquid Fund 26-11-2023 0.1858
ITI Liquid Fund 27-11-2023 0.1856
ITI Liquid Fund 28-11-2023 0.1837
ITI Liquid Fund 29-11-2023 0.1795
ITI Liquid Fund 30-11-2023 0.1661
ITI Liquid Fund 01-12-2023 0.1732
ITI Liquid Fund 02-12-2023 0.1813
ITI Liquid Fund 03-12-2023 0.1811
ITI Liquid Fund 04-12-2023 0.1772
ITI Liquid Fund 05-12-2023 0.1809
ITI Liquid Fund 06-12-2023 0.1778
ITI Liquid Fund 07-12-2023 0.1839
ITI Liquid Fund 08-12-2023 0.1814
ITI Liquid Fund 09-12-2023 0.1811
ITI Liquid Fund 10-12-2023 0.1809
ITI Liquid Fund 11-12-2023 0.1575
ITI Liquid Fund 12-12-2023 0.1728
ITI Liquid Fund 13-12-2023 0.1919
ITI Liquid Fund 14-12-2023 0.1482
ITI Liquid Fund 15-12-2023 0.1843
ITI Liquid Fund 16-12-2023 0.1871
ITI Liquid Fund 17-12-2023 0.1868
ITI Liquid Fund 18-12-2023 0.1812
ITI Liquid Fund 19-12-2023 0.1924
ITI Liquid Fund 20-12-2023 0.1855
ITI Liquid Fund 21-12-2023 0.1956
ITI Liquid Fund 22-12-2023 0.1825
ITI Liquid Fund 23-12-2023 0.1875
ITI Liquid Fund 24-12-2023 0.1877
ITI Liquid Fund 25-12-2023 0.1876
ITI Liquid Fund 26-12-2023 0.1749
ITI Liquid Fund 27-12-2023 0.171
ITI Liquid Fund 28-12-2023 0.2067
ITI Liquid Fund 29-12-2023 0.222
ITI Liquid Fund 30-12-2023 0.1842
ITI Liquid Fund 31-12-2023 0.1845
ITI Liquid Fund 01-01-2024 0.2025
ITI Liquid Fund 02-01-2024 0.1995
ITI Liquid Fund 03-01-2024 0.1864
ITI Liquid Fund 04-01-2024 0.1947
ITI Liquid Fund 05-01-2024 0.2155
ITI Liquid Fund 06-01-2024 0.1808
ITI Liquid Fund 07-01-2024 0.1806
ITI Liquid Fund 08-01-2024 0.1919
ITI Liquid Fund 09-01-2024 0.2016
ITI Liquid Fund 10-01-2024 0.1735
ITI Liquid Fund 11-01-2024 0.197
ITI Liquid Fund 12-01-2024 0.1836
ITI Liquid Fund 13-01-2024 0.18
ITI Liquid Fund 14-01-2024 0.1797
ITI Liquid Fund 15-01-2024 0.1988
ITI Liquid Fund 16-01-2024 0.1666
ITI Liquid Fund 17-01-2024 0.1669
ITI Liquid Fund 18-01-2024 0.184
ITI Liquid Fund 19-01-2024 0.1461
ITI Liquid Fund 20-01-2024 0.199
ITI Liquid Fund 21-01-2024 0.1987
ITI Liquid Fund 22-01-2024 0.1987
ITI Liquid Fund 23-01-2024 0.1506
ITI Liquid Fund 24-01-2024 0.1336
ITI Liquid Fund 25-01-2024 0.176
ITI Liquid Fund 26-01-2024 0.1874
ITI Liquid Fund 27-01-2024 0.1873
ITI Liquid Fund 28-01-2024 0.1874
ITI Liquid Fund 29-01-2024 0.1892
ITI Liquid Fund 30-01-2024 0.171
ITI Liquid Fund 31-01-2024 0.1862
ITI Liquid Fund 01-02-2024 0.1873
ITI Liquid Fund 02-02-2024 0.2094
ITI Liquid Fund 03-02-2024 0.1782
ITI Liquid Fund 04-02-2024 0.178
ITI Liquid Fund 05-02-2024 0.1873
ITI Liquid Fund 06-02-2024 0.1623
ITI Liquid Fund 07-02-2024 0.1754
ITI Liquid Fund 08-02-2024 0.1874
ITI Liquid Fund 09-02-2024 0.1729
ITI Liquid Fund 10-02-2024 0.1842
ITI Liquid Fund 11-02-2024 0.1845
ITI Liquid Fund 12-02-2024 0.1811
ITI Liquid Fund 13-02-2024 0.1954
ITI Liquid Fund 14-02-2024 0.1911
ITI Liquid Fund 15-02-2024 0.2014
ITI Liquid Fund 16-02-2024 0.1956
ITI Liquid Fund 17-02-2024 0.1817
ITI Liquid Fund 18-02-2024 0.1815
ITI Liquid Fund 19-02-2024 0.1816
ITI Liquid Fund 20-02-2024 0.1848
ITI Liquid Fund 21-02-2024 0.1872
ITI Liquid Fund 22-02-2024 0.1872
ITI Liquid Fund 23-02-2024 0.1895
ITI Liquid Fund 24-02-2024 0.185
ITI Liquid Fund 25-02-2024 0.1849
ITI Liquid Fund 26-02-2024 0.1736
ITI Liquid Fund 27-02-2024 0.1843
ITI Liquid Fund 28-02-2024 0.1749
ITI Liquid Fund 29-02-2024 0.1924
ITI Liquid Fund 01-03-2024 0.185
ITI Liquid Fund 02-03-2024 0.1834
ITI Liquid Fund 03-03-2024 0.1833
ITI Liquid Fund 04-03-2024 0.1779
ITI Liquid Fund 05-03-2024 0.1879
ITI Liquid Fund 06-03-2024 0.1674
ITI Liquid Fund 07-03-2024 0.2147
ITI Liquid Fund 08-03-2024 0.1806
ITI Liquid Fund 09-03-2024 0.1802
ITI Liquid Fund 10-03-2024 0.1803
ITI Liquid Fund 11-03-2024 0.1648
ITI Liquid Fund 12-03-2024 0.1784
ITI Liquid Fund 13-03-2024 0.1783
ITI Liquid Fund 14-03-2024 0.1516
ITI Liquid Fund 15-03-2024 0.1725
ITI Liquid Fund 16-03-2024 0.1802
ITI Liquid Fund 17-03-2024 0.1802
ITI Liquid Fund 18-03-2024 0.1805
ITI Liquid Fund 19-03-2024 0.1719
ITI Liquid Fund 20-03-2024 0.1747
ITI Liquid Fund 21-03-2024 0.1524
ITI Liquid Fund 22-03-2024 0.1561
ITI Liquid Fund 23-03-2024 0.193
ITI Liquid Fund 24-03-2024 0.1932
ITI Liquid Fund 25-03-2024 0.1931
ITI Liquid Fund 26-03-2024 0.1276
ITI Liquid Fund 27-03-2024 0.2109
ITI Liquid Fund 28-03-2024 0.4118
ITI Liquid Fund 29-03-2024 0.1883
ITI Liquid Fund 30-03-2024 0.1882
ITI Liquid Fund 31-03-2024 0.1881
ITI Liquid Fund 01-04-2024 0.1882
ITI Liquid Fund 02-04-2024 0.4345
ITI Liquid Fund 03-04-2024 0.1665
ITI Liquid Fund 04-04-2024 0.2819
ITI Liquid Fund 05-04-2024 0.1891
ITI Liquid Fund 06-04-2024 0.176
ITI Liquid Fund 07-04-2024 0.1763
ITI Liquid Fund 08-04-2024 0.2427
ITI Liquid Fund 09-04-2024 0.1764
ITI Liquid Fund 10-04-2024 0.2629
ITI Liquid Fund 11-04-2024 0.186
ITI Liquid Fund 12-04-2024 0.2045
ITI Liquid Fund 13-04-2024 0.1733
ITI Liquid Fund 14-04-2024 0.1736
ITI Liquid Fund 15-04-2024 0.1734
ITI Liquid Fund 16-04-2024 0.1632
ITI Liquid Fund 17-04-2024 0.1722
ITI Liquid Fund 18-04-2024 0.1931
ITI Liquid Fund 19-04-2024 0.1342
ITI Liquid Fund 20-04-2024 0.1771
ITI Liquid Fund 21-04-2024 0.1765
ITI Liquid Fund 22-04-2024 0.1843
ITI Liquid Fund 23-04-2024 0.1626
ITI Liquid Fund 24-04-2024 0.1651
ITI Liquid Fund 25-04-2024 0.1289
ITI Liquid Fund 26-04-2024 0.1289
ITI Liquid Fund 27-04-2024 0.181
ITI Liquid Fund 28-04-2024 0.1809
ITI Liquid Fund 29-04-2024 0.1373
ITI Liquid Fund 30-04-2024 0.1671
ITI Liquid Fund 01-05-2024 0.1822
ITI Liquid Fund 02-05-2024 0.1889
ITI Liquid Fund 03-05-2024 0.172
ITI Liquid Fund 04-05-2024 0.1797
ITI Liquid Fund 05-05-2024 0.1796
ITI Liquid Fund 06-05-2024 0.1964
ITI Liquid Fund 07-05-2024 0.1854
ITI Liquid Fund 08-05-2024 0.1139
ITI Liquid Fund 09-05-2024 0.1719
ITI Liquid Fund 10-05-2024 0.1794
ITI Liquid Fund 11-05-2024 0.1842
ITI Liquid Fund 12-05-2024 0.1837
ITI Liquid Fund 13-05-2024 0.1924
ITI Liquid Fund 14-05-2024 0.2006
ITI Liquid Fund 15-05-2024 0.1925
ITI Liquid Fund 16-05-2024 0.1793
ITI Liquid Fund 17-05-2024 0.1793
ITI Liquid Fund 18-05-2024 0.1807
ITI Liquid Fund 19-05-2024 0.1803
ITI Liquid Fund 20-05-2024 0.1808
ITI Liquid Fund 21-05-2024 0.2361
ITI Liquid Fund 22-05-2024 0.1858
ITI Liquid Fund 23-05-2024 0.1791
ITI Liquid Fund 24-05-2024 0.1857
ITI Liquid Fund 25-05-2024 0.1782
ITI Liquid Fund 26-05-2024 0.1783
ITI Liquid Fund 27-05-2024 0.1829
ITI Liquid Fund 28-05-2024 0.1901
ITI Liquid Fund 29-05-2024 0.1938
ITI Liquid Fund 30-05-2024 0.1989
ITI Liquid Fund 31-05-2024 0.1682
ITI Liquid Fund 01-06-2024 0.1844
ITI Liquid Fund 02-06-2024 0.1843
ITI Liquid Fund 03-06-2024 0.1978
ITI Liquid Fund 04-06-2024 0.1775
ITI Liquid Fund 05-06-2024 0.1829
ITI Liquid Fund 06-06-2024 0.2074
ITI Liquid Fund 07-06-2024 0.2116
ITI Liquid Fund 08-06-2024 0.1796
ITI Liquid Fund 09-06-2024 0.1803
ITI Liquid Fund 10-06-2024 0.1756
ITI Liquid Fund 11-06-2024 0.1866
ITI Liquid Fund 12-06-2024 0.1827
ITI Liquid Fund 13-06-2024 0.1736
ITI Liquid Fund 14-06-2024 0.1673
ITI Liquid Fund 15-06-2024 0.1836
ITI Liquid Fund 16-06-2024 0.1829
ITI Liquid Fund 17-06-2024 0.1836
ITI Liquid Fund 18-06-2024 0.1929
ITI Liquid Fund 19-06-2024 0.1918
ITI Liquid Fund 20-06-2024 0.1768
ITI Liquid Fund 21-06-2024 0.1801
ITI Liquid Fund 22-06-2024 0.1819
ITI Liquid Fund 23-06-2024 0.1818
ITI Liquid Fund 24-06-2024 0.1856
ITI Liquid Fund 25-06-2024 0.1586
ITI Liquid Fund 26-06-2024 0.1694
ITI Liquid Fund 27-06-2024 0.1841
ITI Liquid Fund 28-06-2024 0.1821
ITI Liquid Fund 29-06-2024 0.1767
ITI Liquid Fund 30-06-2024 0.1767
ITI Liquid Fund 01-07-2024 0.2475
ITI Liquid Fund 02-07-2024 0.246
ITI Liquid Fund 03-07-2024 0.1712
ITI Liquid Fund 04-07-2024 0.1631
ITI Liquid Fund 05-07-2024 0.1507
ITI Liquid Fund 06-07-2024 0.1753
ITI Liquid Fund 07-07-2024 0.1755
ITI Liquid Fund 08-07-2024 0.1407
ITI Liquid Fund 09-07-2024 0.1824
ITI Liquid Fund 10-07-2024 0.193
ITI Liquid Fund 11-07-2024 0.2001
ITI Liquid Fund 12-07-2024 0.196
ITI Liquid Fund 13-07-2024 0.1802
ITI Liquid Fund 14-07-2024 0.1803
ITI Liquid Fund 15-07-2024 0.1946
ITI Liquid Fund 16-07-2024 0.1601
ITI Liquid Fund 17-07-2024 0.1811
ITI Liquid Fund 18-07-2024 0.2002

Alternative Funds From Category

Scheme Name Asset Size 1M 3M 6M 1Y 3Y
Aditya Birla Sun Life Liquid Fund -Institutional - IDCW 52.33 7.49 7.31 7.69 7.6 5.96
BANK OF INDIA Liquid Fund- Regular Plan- Daily IDCW 1.88 7.17 7.02 7.42 7.36 5.87
Axis Liquid Fund - Regular Plan - Daily IDCW 132.57 7.07 6.95 7.39 7.32 5.85
CANARA ROBECO LIQUID FUND - REGULAR PLAN - WEEKLY IDCW (Payout/Reinvestment) 0.67 7.13 6.97 7.36 7.3 5.82
Invesco India Liquid Fund - Daily IDCW (Reinvestment) 264.89 7.12 6.97 7.38 7.3 5.81
ICICI Prudential Liquid Fund - Daily IDCW 2564.81 7.12 6.97 7.38 7.28 5.77
HSBC Liquid Fund - IDCW 78.22 6.88 6.85 7.32 7.27 5.43
DSP Liquidity Fund- Regular Plan - IDCW - Daily 52.66 6.95 6.88 7.33 7.27 5.79
Franklin India Liquid Fund - Super Institutional Plan - Daily - IDCW 151.04 6.95 6.9 7.32 7.27 5.79
LIC MF Liquid Fund-Regular Plan-Daily IDCW 1900.05 7.15 6.94 7.34 7.26 5.73

Other Funds From - ITI Liquid Fund-Reg(DD-IDCW)

Scheme Name Asset Size 1M 3M 6M 1Y 3Y
ITI Small Cap Fund - Regular Plan - Growth Option 2234.43 5.05 19.67 26.57 68.27 21.25
ITI Small Cap Fund - Regular Plan - Growth Option 2085.37 5.05 19.67 26.57 68.27 21.25
ITI Small Cap Fund - Regular Plan - Growth Option 2034.11 5.05 19.67 26.57 68.27 21.25
ITI Small Cap Fund - Regular Plan - Growth Option 1986.09 5.05 19.67 26.57 68.27 21.25
ITI Small Cap Fund - Regular Plan - Growth Option 1937.79 5.05 19.67 26.57 68.27 21.25
ITI Small Cap Fund - Regular Plan - Growth Option 1839.97 5.05 19.67 26.57 68.27 21.25
ITI Small Cap Fund - Regular Plan - Growth Option 1771.8 5.05 19.67 26.57 68.27 21.25
ITI Small Cap Fund - Regular Plan - Growth Option 1770.83 5.05 19.67 26.57 68.27 21.25
ITI Small Cap Fund - Regular Plan - Growth Option 1649.72 5.05 19.67 26.57 68.27 21.25
ITI Small Cap Fund - Regular Plan - Growth Option 1647.13 5.05 19.67 26.57 68.27 21.25