Iifl Liquid Fund Overview | ||||||
---|---|---|---|---|---|---|
Category | Liquid Fund | |||||
BMSMONEY Rank | 25 | |||||
BMSMONEY Rating | ||||||
Gro. Opt. | As On: | 26-07-2024 | ||||
NAV | ₹1888.67(R) | +0.02% | ₹1898.83(D) | +0.02% | ||
Returns | 1Y | 3Y | 5Y | 7Y | 10Y | |
LumpSum (R) | 7.13% | 5.7% | 4.86% | 5.36% | 5.96% | |
LumpSum (D) | 7.18% | 5.76% | 4.92% | 5.42% | 6.01% | |
SIP (R) | 7.24% | 6.55% | 4.82% | 5.01% | 5.37% | |
SIP (D) | 7.3% | 6.6% | 4.88% | 5.06% | 5.43% | |
Ratio | Sharpe Ratio | Sortino Ratio | Sterling Ratio | Jensen's Alpha | Treynor Ratio | |
- | - | - | -% | - | ||
Risk | STD. Dev | VaR 1Y95% | Max DD | Beta | Semi Devi. | |
-% | -% | -% | - | -% |
NAV Date: 26-07-2024
Scheme Name | NAV | Rupee Change | Percent Change |
---|---|---|---|
IIFL LIQUID FUND REGULAR PLAN DAILY DIVIDEND REINVESTMENT | 1000.08 |
-0.0200
|
0.0000%
|
IIFL LIQUID FUND DIRECT PLAN DAILY DIVIDEND REINVESTMENT | 1000.08 |
-0.0200
|
0.0000%
|
IIFL LIQUID FUND REGULAR PLAN WEEKLY DIVIDEND | 1005.53 |
0.1700
|
0.0200%
|
IIFL LIQUID FUND DIRECT PLAN WEEKLY DIVIDEND | 1005.55 |
0.1700
|
0.0200%
|
IIFL LIQUID FUND REGULAR PLAN GROWTH | 1888.67 |
0.3200
|
0.0200%
|
IIFL LIQUID FUND DIRECT PLAN GROWTH | 1898.83 |
0.3200
|
0.0200%
|
Review Date: 26-07-2024
Iifl Liquid Fund has exhibited poor performance in the Liquid Fund category. The fund has rank of 25 out of 32 funds in the category. The fund has delivered return of 7.13% in 1 year, 5.7% in 3 years, 4.86% in 5 years and 5.96% in 10 years. The category average for the same periods is 7.16%, 3.15%, 3.11% and 8.8% respectively, which shows poor return performance of fund in the category. The fund has high risk in the category.Key Points:
KPIs* | Fund | Benchmark | Cat. Avg | Min | Max | Rank (In Cat.) | Performance |
---|---|---|---|---|---|---|
1M Return % | 0.58 |
0.58
|
0.55 | 0.60 | 25 | 32 | Poor | |
3M Return % | 1.68 |
1.68
|
1.55 | 1.72 | 25 | 32 | Poor | |
6M Return % | 3.53 |
3.56
|
3.29 | 3.65 | 25 | 32 | Poor | |
1Y Return % | 7.13 |
7.16
|
6.57 | 7.35 | 25 | 32 | Poor | |
3Y Return % | 5.70 |
3.15
|
-77.20 | 5.91 | 24 | 32 | Average | |
5Y Return % | 4.86 |
3.11
|
-58.20 | 5.42 | 26 | 32 | Poor | |
7Y Return % | 5.36 |
3.91
|
-45.30 | 5.91 | 25 | 29 | Poor | |
10Y Return % | 5.96 |
8.80
|
5.76 | 68.50 | 23 | 25 | Poor | |
1Y SIP Return % | 7.24 |
7.29
|
6.71 | 7.48 | 25 | 32 | Poor | |
3Y SIP Return % | 6.55 |
6.58
|
5.97 | 6.75 | 24 | 31 | Average | |
5Y SIP Return % | 4.82 |
5.44
|
4.57 | 5.79 | 29 | 31 | Poor | |
7Y SIP Return % | 5.01 |
5.49
|
4.99 | 5.69 | 27 | 28 | Poor | |
10Y SIP Return % | 5.37 |
7.96
|
5.24 | 58.27 | 23 | 24 | Poor |
KPIs* | Fund | Benchmark | Cat. Avg | Min | Max | Rank (In Cat.) | Performance |
---|---|---|---|---|---|---|
1M Return % | 0.58 | 0.59 | 0.56 | 0.61 | 26 | 32 | ||
3M Return % | 1.69 | 1.71 | 1.62 | 1.74 | 26 | 32 | ||
6M Return % | 3.55 | 3.62 | 3.37 | 3.72 | 26 | 32 | ||
1Y Return % | 7.18 | 7.30 | 6.88 | 7.43 | 27 | 32 | ||
3Y Return % | 5.76 | 3.29 | -77.19 | 5.98 | 26 | 32 | ||
5Y Return % | 4.92 | 3.24 | -58.18 | 5.73 | 29 | 32 | ||
7Y Return % | 5.42 | 4.04 | -45.26 | 6.20 | 26 | 29 | ||
10Y Return % | 6.01 | 8.81 | 5.96 | 68.66 | 25 | 26 | ||
1Y SIP Return % | 7.30 | 7.43 | 6.95 | 7.59 | 26 | 32 | ||
3Y SIP Return % | 6.60 | 6.72 | 6.39 | 6.83 | 27 | 31 | ||
5Y SIP Return % | 4.88 | 5.58 | 4.73 | 5.90 | 29 | 31 | ||
7Y SIP Return % | 5.06 | 5.63 | 5.06 | 5.81 | 28 | 28 | ||
10Y SIP Return % | 5.43 | 7.99 | 5.43 | 58.44 | 25 | 25 |
Investment Period | Regular | Direct | ||
---|---|---|---|---|
Return % | Current Value of ₹ 10000 | Return % | Current Value of ₹ 10000 | |
1D | 0.02 | ₹ 10,002.00 | 0.02 | ₹ 10,002.00 |
1W | 0.07 | ₹ 10,007.00 | 0.07 | ₹ 10,007.00 |
1M | 0.58 | ₹ 10,058.00 | 0.58 | ₹ 10,058.00 |
3M | 1.68 | ₹ 10,168.00 | 1.69 | ₹ 10,169.00 |
6M | 3.53 | ₹ 10,353.00 | 3.55 | ₹ 10,355.00 |
1Y | 7.13 | ₹ 10,713.00 | 7.18 | ₹ 10,718.00 |
3Y | 5.70 | ₹ 11,811.00 | 5.76 | ₹ 11,829.00 |
5Y | 4.86 | ₹ 12,681.00 | 4.92 | ₹ 12,713.00 |
7Y | 5.36 | ₹ 14,416.00 | 5.42 | ₹ 14,467.00 |
10Y | 5.96 | ₹ 17,843.00 | 6.01 | ₹ 17,932.00 |
15Y | ₹ | ₹ |
Disclaimer: Past performance may or may not be sustained in future and should not be used as a basis for comparison with other investments. Returns for periods above 1 year are annualised.
Investment Period | Invested Amount | Regular | Direct | ||
---|---|---|---|---|---|
XIRR % | Current Value of Invested Amount | XIRR % | Current Value of Invested Amount | ||
1Y | ₹ 12000 | 7.24 | ₹ 12,463.90 | 7.30 | ₹ 12,467.53 |
3Y | ₹ 36000 | 6.55 | ₹ 39,754.22 | 6.60 | ₹ 39,786.77 |
5Y | ₹ 60000 | 4.82 | ₹ 67,786.20 | 4.88 | ₹ 67,875.24 |
7Y | ₹ 84000 | 5.01 | ₹ 100,364.80 | 5.06 | ₹ 100,552.96 |
10Y | ₹ 120000 | 5.37 | ₹ 158,038.92 | 5.43 | ₹ 158,476.08 |
15Y | ₹ 180000 | ₹ | ₹ |
Date | NAV Regular Growth | NAV Direct Growth |
---|---|---|
26-07-2024 | 1888.6686 | 1898.8312 |
25-07-2024 | 1888.3534 | 1898.5118 |
24-07-2024 | 1888.0092 | 1898.163 |
23-07-2024 | 1887.6641 | 1897.8136 |
22-07-2024 | 1887.3347 | 1897.4799 |
19-07-2024 | 1886.2836 | 1896.4153 |
18-07-2024 | 1885.9285 | 1896.0556 |
16-07-2024 | 1885.203 | 1895.321 |
15-07-2024 | 1884.8861 | 1894.9999 |
12-07-2024 | 1883.8275 | 1893.9279 |
11-07-2024 | 1883.4447 | 1893.5404 |
10-07-2024 | 1883.0653 | 1893.1564 |
09-07-2024 | 1882.7296 | 1892.8162 |
08-07-2024 | 1882.3737 | 1892.4557 |
05-07-2024 | 1881.3859 | 1891.4549 |
04-07-2024 | 1881.1013 | 1891.1662 |
03-07-2024 | 1880.7805 | 1890.841 |
02-07-2024 | 1880.4174 | 1890.4734 |
01-07-2024 | 1879.8631 | 1889.9136 |
28-06-2024 | 1878.6169 | 1888.6529 |
27-06-2024 | 1878.1476 | 1888.1786 |
26-06-2024 | 1877.8008 | 1887.8273 |
Fund Launch Date: 01/Nov/2013 |
Fund Category: Liquid Fund |
Investment Objective: To provide liquidity with reasonable returns commensurate with low risk through a portfolio of money market and debt securities with residual maturity of up to 91 days. However, there can be no assurance that the investment objective of the scheme will be achieved. |
Fund Description: An Open Ended Liquid Scheme |
Fund Benchmark: Not Available |
Disclaimer: NO INVESTMENT ADVICE. The Content is for informational purposes only.