Navi Liquid Fund Datagrid
Category Liquid Fund
BMSMONEY Rank N/A
Rating N/A
Growth Option 04-12-2025
NAV ₹29.05(R) +0.03% ₹29.32(D) +0.03%
Returns 1Y 3Y 5Y 7Y 10Y
Lumpsum Regular 6.16% 6.62% 5.61% 5.47% 6.02%
Direct 6.22% 6.67% 5.66% 5.52% 6.1%
Benchmark
SIP (XIRR) Regular 5.85% 6.46% 5.49% 5.42% 5.62%
Direct 5.91% 6.51% 5.54% 5.47% 5.69%
Ratio Sharpe Ratio Sortino Ratio Sterling Ratio Jensen's Alpha Treynor Ratio
Risk STD. Dev VaR 1Y95% Max DD Beta Semi Devi.
Fund AUM As on: 30/06/2025 100 Cr

NAV Date: 04-12-2025

Scheme Name NAV Rupee Change Percent Change
Navi Liquid Fund-Unclaimed Redemption and Dividend Plan greater than 3 years 10.0
0.0000
0.0000%
Navi Liquid Fund - Regular Plan Daily IDCW 10.01
0.0000
0.0000%
Navi Liquid Fund - Regular Plan Weekly IDCW 10.01
0.0000
0.0300%
Navi Liquid Fund - Direct Plan Weekly IDCW - Payout 10.01
0.0000
0.0300%
Navi Liquid Fund - Direct Plan Daily IDCW - ReInvestment 10.01
0.0000
0.0000%
Navi Liquid Fund - Regular Plan Monthly IDCW 10.02
0.0000
0.0300%
Navi Liquid Fund - Direct Plan Monthly IDCW - Payout 10.02
0.0000
0.0300%
Navi Liquid Fund-Regular Plan-Growth Option 29.05
0.0100
0.0300%
Navi Liquid Fund-Unclaimed Redemption and Dividend Plan less than 3 years 29.22
0.0100
0.0300%
Navi Liquid Fund-Direct Plan-Growth Option 29.32
0.0100
0.0300%

Review Date: 04-12-2025


Investors beware: Mutual Fund investments are subject to market risks. Please read the scheme related documents carefully.

Data Source: www.amfiindia.com

SEBI Categorization


KPIs* Fund Benchmark Cat. Avg Min | Max Rank (In Cat.) Performance
1M Return % 0.44
0.46
0.41 | 0.47 32 | 35 Poor
3M Return % 1.35
1.41
1.27 | 1.44 34 | 35 Poor
6M Return % 2.78
2.86
2.60 | 2.93 32 | 35 Poor
1Y Return % 6.16
6.48
5.95 | 6.63 32 | 35 Poor
3Y Return % 6.62
6.86
6.28 | 7.03 31 | 34 Poor
5Y Return % 5.61
5.65
5.05 | 5.79 26 | 33 Average
7Y Return % 5.47
5.60
5.06 | 5.84 26 | 30 Poor
10Y Return % 6.02
6.07
5.51 | 6.27 22 | 25 Poor
15Y Return % 7.08
7.05
6.50 | 7.42 12 | 21 Good
1Y SIP Return % 5.85
6.13
5.59 | 6.26 32 | 35 Poor
3Y SIP Return % 6.46
6.74
6.18 | 6.90 32 | 34 Poor
5Y SIP Return % 5.49
6.15
5.29 | 6.53 31 | 33 Poor
7Y SIP Return % 5.42
5.83
5.30 | 6.04 28 | 30 Poor
10Y SIP Return % 5.62
5.85
5.32 | 6.01 23 | 25 Poor
15Y SIP Return % 6.30
6.40
5.83 | 6.56 19 | 21 Poor
Return data last Updated On : Dec. 4, 2025.
Other parameters, fund ranking, non return related analysis are updated after every month end. Last Updated On : Oct. 31, 2025
KPIs: Key Performance Indicators

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KPIs* Fund Benchmark Cat. Avg Min | Max Rank (In Cat.) Performance
1M Return % 0.45 0.47 0.45 | 0.48 35 | 35 Poor
3M Return % 1.36 1.44 1.36 | 1.46 35 | 35 Poor
6M Return % 2.80 2.93 2.79 | 2.99 34 | 35 Poor
1Y Return % 6.22 6.62 6.22 | 6.73 35 | 35 Poor
3Y Return % 6.67 7.00 6.66 | 7.12 33 | 34 Poor
5Y Return % 5.66 5.78 5.47 | 6.00 27 | 33 Average
7Y Return % 5.52 5.73 5.37 | 6.14 27 | 30 Poor
10Y Return % 6.10 6.18 5.74 | 6.51 22 | 26 Poor
1Y SIP Return % 5.91 6.27 5.91 | 6.37 35 | 35 Poor
3Y SIP Return % 6.51 6.88 6.51 | 6.99 34 | 34 Poor
5Y SIP Return % 5.54 6.29 5.46 | 6.62 31 | 33 Poor
7Y SIP Return % 5.47 5.96 5.41 | 6.14 29 | 30 Poor
10Y SIP Return % 5.69 5.97 5.58 | 6.14 24 | 26 Poor
Return data last Updated On : Dec. 4, 2025.
Other parameters, fund ranking, non return related analysis are updated after every month end. Last Updated On : Oct. 31, 2025
KPIs: Key Performance Indicators

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.


Date Navi Liquid Fund NAV Regular Growth Navi Liquid Fund NAV Direct Growth
04-12-2025 29.0538 29.3187
03-12-2025 29.0494 29.3143
02-12-2025 29.0458 29.3106
01-12-2025 29.0419 29.3066
28-11-2025 29.0298 29.2943
27-11-2025 29.0261 29.2905
26-11-2025 29.0213 29.2857
25-11-2025 29.0168 29.2811
24-11-2025 29.0125 29.2766
21-11-2025 28.9997 29.2636
20-11-2025 28.9953 29.2591
19-11-2025 28.9912 29.255
18-11-2025 28.9866 29.2503
17-11-2025 28.9819 29.2455
14-11-2025 28.9686 29.232
13-11-2025 28.9644 29.2276
12-11-2025 28.9602 29.2234
11-11-2025 28.9558 29.2189
10-11-2025 28.952 29.2151
07-11-2025 28.9391 29.2019
06-11-2025 28.9346 29.1973
04-11-2025 28.9255 29.1881

Fund Launch Date: 17/Feb/2010
Fund Category: Liquid Fund
Investment Objective: To provide a high level of liquidity with reasonable returns commensurate with low risk through aportfolio of money market and debt securities. However, there can be no assurance or guaranteethat the investment objective of the scheme(s) will be achieved. The Scheme(s) does not assureor guarantee any returns.
Fund Description: An open ended liquid scheme
Fund Benchmark: CRISIL Liquid Fund Index
Source: Fund FactSheet

Disclaimer: NO INVESTMENT ADVICE. The Content is for informational purposes only.