Mirae-Asset-Liquid-Fund-Regular-Plan-Growth
Fund Manager : Abhishek Iyer | Benchmark : Nifty Liquid Index A-I | Category : Debt: Liquid

2725.3299 0.49 (0.02 %)

NAV as on 02-06-2025

8,684.21 Cr

AUM as on 30-04-2025

Rtn ( Since Inception )

6.31%

Inception Date

Jan 02, 2009

Expense Ratio

0.2%

Fund Status

Open Ended Scheme

Min. Investment (Rs)

5,000

Min. Topup (Rs)

1,000

Min. SIP Amount (Rs)

99

Risk Status

low to moderate

Investment Objective : The investment objective of the scheme is to seek to generate returns linked to short end rates like MIBOR and CBLO etc. and provide higher liquidity by investing in a portfolio of debt and money market instruments.

Returns (%)
1 Mon (%) 3 Mon (%) 6 Mon (%) 1 Yr (%) 3 Yrs (%) 5 Yrs (%) 10 Yrs (%)
Fund 0.56 1.81 3.56 7.23 6.9 5.48 6.16
Benchmark - Nifty 1D Rate Index 0.47 1.59 3.23 6.67 6.28 5.04 5.65
Category - Debt: Liquid 0.55 1.79 3.53 7.15 6.82 5.37 6.13
Rank within Category
Number of Funds within Category

Returns less than 1 year are in absolute and Returns greater than 1 year period are compounded annualised (CAGR)

Debt Holdings (Top 10)
CompanyHoldings (%)
91 Days Treasury Bills (MD 12/06/2025)3.58
182 Days Treasury Bills (MD 29/05/2025)3.39
182 Days Treasury Bills (MD 27/06/2025)2.98
HDFC Bank Ltd. (MD 09/06/2025)2.39
National Bank for Agriculture and Rural Development (MD 20/06/2025)2.38
91 Days Treasury Bills (MD 24/07/2025)2.37
91 Days Treasury Bills (MD 17/07/2025)2.18
Bank of Baroda (MD 11/06/2025)1.99
Axis Bank Ltd. (MD 05/06/2025)1.99
ICICI Bank Ltd. (MD 27/06/2025)1.98
ICICI Bank Ltd. (MD 25/07/2025)1.97
Punjab National Bank (MD 24/07/2025)1.97
Canara Bank (MD 28/05/2025)1.79
Small Industries Development Bank of India (MD 26/06/2025)1.78
Bank of Baroda (MD 25/07/2025)1.78
TREPS1.6
Bank of Baroda (MD 04/06/2025)1.59
182 Days Treasury Bills (MD 12/06/2025)1.59
Hindustan Petroleum Corporation Ltd. (MD 10/06/2025)1.59
Small Industries Development Bank of India (MD 10/06/2025)1.59
Canara Bank (MD 09/06/2025)1.59
Bank of Baroda (MD 09/06/2025)1.59
HDFC Bank Ltd. (MD 11/06/2025)1.59
Bank of India (MD 25/06/2025)1.59
National Bank for Agriculture and Rural Development (MD 24/06/2025)1.59
Punjab National Bank (MD 18/06/2025)1.59
6.10% Reverse Repo1.49
Small Industries Development Bank of India (MD 10/06/2025)1.39
ICICI Securities Ltd. (MD 08/05/2025)1.2
Kotak Securities Ltd. (MD 23/05/2025)1.2
Bajaj Finance Ltd. (MD 23/05/2025)1.2
Reliance Retail Ventures Ltd. (MD 13/05/2025)1.2
Birla Group Holding Pvt. Ltd. (MD 05/05/2025)1.2
91 Days Treasury Bills (MD 30/05/2025)1.2
Bajaj Finance Ltd. (MD 09/06/2025)1.19
Kotak Securities Ltd. (MD 05/06/2025)1.19
Punjab National Bank (MD 05/06/2025)1.19
Punjab National Bank (MD 03/06/2025)1.19
Union Bank of India (MD 04/06/2025)1.19
HDFC Securities Ltd. (MD 17/06/2025)1.19
Reliance Jio Infocomm Ltd. (MD 23/06/2025)1.19
Godrej Consumer Products Ltd. (MD 23/06/2025)1.19
Small Industries Development Bank of India (MD 02/07/2025)1.19
Union Bank of India (MD 05/06/2025)1.19
Indian Bank (MD 05/06/2025)1.19
Axis Bank Ltd. (MD 10/06/2025)1.19
Bank of India (MD 26/06/2025)1.19
Indian Bank (MD 25/07/2025)1.18
91 Days Treasury Bills (MD 01/08/2025)1.18
Punjab National Bank (MD 27/05/2025)1
Canara Bank (MD 12/06/2025)0.99
Motilal Oswal Financial Services Ltd. (MD 25/07/2025)0.99
ICICI Securities Ltd. (MD 07/05/2025)0.8
91 Days Treasury Bills (MD 05/06/2025)0.8
ICICI Securities Ltd. (MD 22/05/2025)0.8
Bajaj Finance Ltd. (MD 04/06/2025)0.8
Reliance Retail Ventures Ltd. (MD 06/06/2025)0.8
HDFC Securities Ltd. (MD 06/06/2025)0.8
National Bank for Agriculture and Rural Development (MD 11/06/2025)0.8
Bajaj Finance Ltd. (MD 11/06/2025)0.8
ICICI Securities Ltd. (MD 29/05/2025)0.8
HDFC Securities Ltd. (MD 15/07/2025)0.79
Canara Bank (MD 01/07/2025)0.79
Bank of Baroda (MD 09/07/2025)0.79
HDFC Securities Ltd. (MD 17/07/2025)0.79
182 Days Treasury Bills (MD 19/06/2025)0.79
Reliance Jio Infocomm Ltd. (MD 16/07/2025)0.79
Tata Motors Finance Ltd. (MD 10/07/2025)0.79
National Bank for Agriculture and Rural Development (MD 23/06/2025)0.79
Sikka Ports & Terminals Ltd. (MD 12/06/2025)0.79
HDFC Securities Ltd. (MD 23/07/2025)0.79
Motilal Oswal Financial Services Ltd. (MD 06/05/2025)0.6
ICICI Securities Ltd. (MD 27/06/2025)0.59
Godrej Industries Ltd. (MD 29/07/2025)0.59
182 Days Treasury Bills (MD 05/06/2025)0.4
Reliance Retail Ventures Ltd. (MD 09/05/2025)0.4
Axis Bank Ltd. (MD 15/07/2025)0.4
HDFC Bank Ltd. (MD 27/05/2025)0.4
Kotak Mahindra Investments Ltd. (MD 09/06/2025)0.4
HDFC Bank Ltd. (MD 25/07/2025)0.39
Corporate Debt Market Development Fund - Class A20.22
Net Receivables / (Payables)-2.41
Show All Holdings
Credit Quality Break Down
Credit Quality Portfolio (%)
SOV 20.46
AAA 78.63
AA -
A -
BBB -
Below BBB -
D -
   
   
   
Note: AAA includes A1, A includes A2, BBB includes A3.
Asset Type (Top 5)
Debt 99.09
Cash & Cash Equivalents 0.68
Mutual Funds 0.22
   
Portfolio Behavior
Mean 5.5
Sharpe Ratio 0.31
Alpha 2.06
Beta 0.95
Standard Deviation 0.48
Sortino 0.83
Debt Profile
Scheme Category % of Change
Modified Duration 0
Average Maturity 0
Yield To Maturity 0
       
       
Yearly Performance (%)
Created with Highstock 2.1.5ValuesMirae Asset Liquid Fund - Regular Plan - GrowthNifty 1D Rate IndexDebt: Liquid2013201420152016201720182019202020212022
Standard Performance
Scheme
Mirae Asset Liquid Gr
Benchmark
Nifty 1D Rate Index
Additional Benchmark
NIFTY 50 TRI
Category Average
Period Returns Value of
10000 invested
Returns Value of
10000 invested
Returns Value of
10000 invested
Returns Value of
10000 invested
1 Year 7.23 %10,7236.67 %10,66711.4111417.1510715
3 Year 6.9 %12,2176.28 %12,00515.44153846.8212189
5 Year 5.48 %13,0585.04 %12,78822.29273505.3712990
10 Year 6.16 %18,1815.65 %17,32612.74331736.1318130
Since inception 6.31 %20,8406.37 %20,98213.93478266.4921267
Riskometer
riskometer
SIP Returns (Monthly SIP of Rs. 10,000)
3 Year 5 Year 10 Year 15 Year
Scheme Name Invested Amt Current Value XIRR (%) Invested Amt Current Value XIRR (%) Invested Amt Current Value XIRR (%) Invested Amt Current Value XIRR (%)
Mirae Asset Liquid Gr 360,000 399,205 7.2 600,000 702,083 6.42 1,200,000 1,623,393 5.98 1,800,000 2,956,876 6.37
Nifty 1D Rate Index 360,000 395,650 6.6 600,000 694,577 6 1,200,000 1,581,515 5.48 1,740,000 2,697,621 5.86
Debt: Liquid 360,000 398,725 7.08 600,000 700,315 6.3 1,200,000 1,615,776 5.88 1,800,000 2,975,825 6.44

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Returns less than 1 year are in absolute and greater than 1 year are compounded annualised (CAGR). SIP returns are shown in XIRR (%).

The Risk Level of any of the schemes must always be commensurate with the risk profile, investment objective or financial goals of the investor concerned. Mutual Fund Distributors (MFDs) or Registered Investment Advisors (RIAs) should take the risk profile and investment needs of individual investors into consideration and make scheme(s) or asset allocation recommendations accordingly.

Mutual Fund investments are subject to market risks, read all scheme related documents carefully. Past performance may or may not be sustained in the future. Investors should always invest according to their risk appetite and consult with their mutual fund distributors or financial advisor before investing.