3 Year Absolute Returns
0.05% ↑
NAV (₹) on 16 Jun 2026
1157.68
1 Day NAV Change
0.03%
Risk Level
Low to Moderate Risk
Rating
-
Mirae Asset Liquid Fund is a Cash mutual fund categorized under Liquid, offered by Mirae Asset Global Investments (India) Pvt. Ltd.. Launched on 05 Jan 2009, investors can start with a minimum SIP of ... Read more
AUM
₹ 11,181.69 Cr
| Sectors | Weightage |
|---|---|
| Commercial Paper | 54.50% |
| Certificate of Deposits | 24.62% |
| Treasury Bill | 15.56% |
| Others - Not Mentioned | 6.68% |
| Debt | 3.98% |
| Others | 0.39% |
| Name | Weightage | Value (in Cr.) | Sector |
|---|---|---|---|
| TREPS | 3.99% | ₹ 594.02 | Others |
| 91 Days Treasury Bills (MD 28/08/2025) | 3.68% | ₹ 549.02 | Others - Not Mentioned |
| Union Bank of India (MD 23/09/2025) | 3.34% | ₹ 497.09 | Others |
| National Bank for Agriculture and Rural Development (MD 24/09/2025) | 3.34% | ₹ 497.02 | Others |
| 182 Days Treasury Bills (MD 18/09/2025) | 3.00% | ₹ 447.80 | Others - Not Mentioned |
| Punjab National Bank (MD 26/08/2025) | 2.68% | ₹ 399.38 | Others |
| Canara Bank (MD 26/08/2025) | 2.34% | ₹ 349.46 | Others |
| Indian Bank (MD 20/08/2025) | 2.18% | ₹ 324.80 | Others |
| 91 Days Treasury Bills (MD 04/09/2025) | 2.01% | ₹ 299.16 | Others - Not Mentioned |
| Godrej Consumer Products Ltd. (MD 23/09/2025) | 2.00% | ₹ 298.23 | Others |
| Bank of Baroda (MD 03/11/2025) | 1.99% | ₹ 296.27 | Others |
| 91 Days Treasury Bills (MD 06/11/2025) | 1.99% | ₹ 296.38 | Others |
| Punjab National Bank (MD 19/08/2025) | 1.68% | ₹ 249.88 | Others |
| Bank of Baroda (MD 04/09/2025) | 1.67% | ₹ 249.27 | Others |
| Union Bank of India (MD 15/09/2025) | 1.34% | ₹ 199.08 | Others |
| Indian Oil Corporation Ltd. (MD 10/09/2025) | 1.34% | ₹ 199.22 | Others |
| Canara Bank (MD 18/09/2025) | 1.34% | ₹ 198.99 | Others |
| National Bank for Agriculture and Rural Development (MD 22/08/2025) | 1.34% | ₹ 199.81 | Others |
| 91 Days Treasury Bills (MD 18/09/2025) | 1.34% | ₹ 199.02 | Others - Not Mentioned |
| Kotak Mahindra Bank Ltd. (MD 26/08/2025) | 1.34% | ₹ 199.69 | Others |
| Bank of Baroda (MD 25/08/2025) | 1.34% | ₹ 199.72 | Others |
| Canara Bank (MD 20/08/2025) | 1.34% | ₹ 199.88 | Others |
| Indian Bank (MD 16/10/2025) | 1.33% | ₹ 198.08 | Others |
| Small Industries Development Bank of India (MD 24/10/2025) | 1.33% | ₹ 197.81 | Others |
| 91 Days Treasury Bills (MD 25/09/2025) | 1.33% | ₹ 198.82 | Others |
| 91 Days Treasury Bills (MD 13/11/2025) | 1.32% | ₹ 197.38 | Others |
| Aditya Birla Real Estate Ltd. (MD 12/11/2025) | 1.32% | ₹ 196.76 | Others |
| Piramal Finance Ltd. (MD 13/11/2025) | 1.32% | ₹ 196.67 | Others |
| Bharti Telecom Ltd. (MD 19/09/2025) | 1.17% | ₹ 173.99 | Others |
| Bank of Baroda (MD 22/08/2025) | 1.01% | ₹ 149.86 | Others |
| Small Industries Development Bank of India (MD 08/09/2025) | 1.00% | ₹ 149.47 | Others |
| HDFC Securities Ltd. (MD 08/09/2025) | 1.00% | ₹ 149.42 | Others |
| National Bank for Agriculture and Rural Development (MD 03/09/2025) | 1.00% | ₹ 149.59 | Others |
| L&T Finance Ltd. (MD 28/08/2025) | 1.00% | ₹ 149.70 | Others |
| Small Industries Development Bank of India (MD 26/08/2025) | 1.00% | ₹ 149.77 | Others |
| HDFC Bank Ltd. (MD 20/10/2025) | 1.00% | ₹ 148.46 | Others |
| 364 Days Treasury Bills (MD 28/08/2025) | 1.00% | ₹ 149.73 | Others - Not Mentioned |
| 91 Days Treasury Bills (MD 16/10/2025) | 1.00% | ₹ 148.65 | Others |
| 91 Days Treasury Bills (MD 30/10/2025) | 1.00% | ₹ 148.34 | Others |
| HDFC Bank Ltd. (MD 10/09/2025) | 1.00% | ₹ 149.42 | Others |
| Canara Bank (MD 03/09/2025) | 1.00% | ₹ 149.59 | Others |
| 360 One Prime Ltd. (MD 24/10/2025) | 0.99% | ₹ 148.06 | Others |
| Julius Baer Capital (India) Pvt. Ltd. (MD 04/11/2025) | 0.99% | ₹ 147.89 | Others |
| Aditya Birla Money Ltd. (MD 04/11/2025) | 0.99% | ₹ 147.88 | Others |
| 360 One Prime Ltd. (MD 04/11/2025) | 0.99% | ₹ 147.76 | Others |
| Indian Bank (MD 04/11/2025) | 0.99% | ₹ 148.11 | Others |
| Canara Bank (MD 04/11/2025) | 0.99% | ₹ 148.11 | Others |
| Kotak Securities Ltd. (MD 25/08/2025) | 0.84% | ₹ 124.81 | Others |
| 360 One Prime Ltd. (MD 26/08/2025) | 0.84% | ₹ 124.78 | Others |
| 91 Days Treasury Bills (MD 21/08/2025) | 0.80% | ₹ 119.91 | Others - Not Mentioned |
| 182 Days Treasury Bills (MD 25/09/2025) | 0.80% | ₹ 119.29 | Others - Not Mentioned |
| Godrej Properties Ltd. (MD 28/08/2025) | 0.67% | ₹ 99.81 | Others |
| ICICI Securities Ltd. (MD 28/08/2025) | 0.67% | ₹ 99.80 | Others |
| Sikka Ports & Terminals Ltd. (MD 03/09/2025) | 0.67% | ₹ 99.72 | Others |
| Small Industries Development Bank of India (MD 04/09/2025) | 0.67% | ₹ 99.71 | Others |
| Reliance Retail Ventures Ltd. (MD 04/09/2025) | 0.67% | ₹ 99.70 | Others |
| Network18 Media & Investments Ltd. (MD 04/09/2025) | 0.67% | ₹ 99.70 | Others |
| Birla Group Holding Pvt. Ltd. (MD 05/09/2025) | 0.67% | ₹ 99.66 | Others |
| ICICI Securities Ltd. (MD 08/09/2025) | 0.67% | ₹ 99.61 | Others |
| Reliance Jio Infocomm Ltd. (MD 12/09/2025) | 0.67% | ₹ 99.58 | Others |
| ICICI Securities Ltd. (MD 18/09/2025) | 0.67% | ₹ 99.45 | Others |
| Axis Securities Ltd. (MD 20/08/2025) | 0.67% | ₹ 99.93 | Others |
| Reliance Retail Ventures Ltd. (MD 26/08/2025) | 0.67% | ₹ 99.84 | Others |
| Kotak Securities Ltd. (MD 26/08/2025) | 0.67% | ₹ 99.83 | Others |
| Piramal Finance Ltd. (MD 26/08/2025) | 0.67% | ₹ 99.82 | Others |
| Canara Bank (MD 04/09/2025) | 0.67% | ₹ 99.71 | Others |
| Punjab National Bank (MD 04/09/2025) | 0.67% | ₹ 99.71 | Others |
| HDFC Bank Ltd. (MD 18/09/2025) | 0.67% | ₹ 99.49 | Others |
| Union Bank of India (MD 18/09/2025) | 0.67% | ₹ 99.49 | Others |
| Kotak Securities Ltd. (MD 23/09/2025) | 0.67% | ₹ 99.36 | Others |
| 91 Days Treasury Bills (MD 23/10/2025) | 0.66% | ₹ 98.99 | Others |
| Reliance Jio Infocomm Ltd. (MD 17/10/2025) | 0.66% | ₹ 99.01 | Others |
| Tata Steel Ltd. (MD 17/10/2025) | 0.66% | ₹ 99 | Others |
| Reliance Jio Infocomm Ltd. (MD 24/10/2025) | 0.66% | ₹ 98.90 | Others |
| Sundaram Finance Ltd. (MD 28/10/2025) | 0.66% | ₹ 98.78 | Others |
| Indian Oil Corporation Ltd. (MD 03/11/2025) | 0.66% | ₹ 98.75 | Others |
| HDFC Securities Ltd. (MD 28/10/2025) | 0.66% | ₹ 98.74 | Others |
| Sikka Ports & Terminals Ltd. (MD 06/11/2025) | 0.66% | ₹ 98.69 | Others |
| ICICI Securities Ltd. (MD 04/11/2025) | 0.66% | ₹ 98.63 | Others |
| Reliance Retail Ventures Ltd. (MD 13/11/2025) | 0.66% | ₹ 98.58 | Others |
| Kotak Securities Ltd. (MD 11/11/2025) | 0.66% | ₹ 98.51 | Others |
| Mahindra & Mahindra Financial Services Ltd. (MD 13/11/2025) | 0.66% | ₹ 98.50 | Others |
| HDFC Bank Ltd. (MD 04/11/2025) | 0.50% | ₹ 74.05 | Others |
| Bharti Telecom Ltd. (MD 17/10/2025) | 0.50% | ₹ 74.17 | Others |
| Godrej Industries Ltd. (MD 27/10/2025) | 0.50% | ₹ 74.12 | Others |
| Axis Bank Ltd. (MD 12/11/2025) | 0.33% | ₹ 49.30 | Others |
| Kotak Securities Ltd. (MD 23/10/2025) | 0.33% | ₹ 49.42 | Others |
| Corporate Debt Market Development Fund - Class A2 | 0.20% | ₹ 29.89 | Others |
| Net Receivables / (Payables) | 0.01% | ₹ 1.79 | Others |
| Annualised returns | ||||
|---|---|---|---|---|
| 9M | 1Y | 2Y | 3Y | |
| Fund returns | 0.14% | 0.10% | 0.01% | 0.02% |
| Category returns | 3.51% | 4.58% | 9.79% | 14.83% |
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 ... Read more
|
Scheme Name
|
NAV
|
Returns
1Y
3Y
5Y
|
AUM (Cr)
|
Expense Ratio
|
Risk Meter
|
||
|---|---|---|---|---|---|---|---|
|
SBI Liquid Fund - Institutional Plan
Liquid
Regular
|
₹1,500 | 41.32% | 41.38% | 41.27% | ₹79,363 | 0.16% |
Low to Moderate
|
|
SBI Liquid Fund - Institutional Plan
Liquid
Regular
|
₹1,500 | 41.32% | 41.38% | 41.27% | ₹79,363 | 0.16% |
Low to Moderate
|
|
Aditya Birla Sun Life Liquid Fund - Retail Plan
Liquid
Regular
|
₹302.48 | 6.55% | 23.15% | 35.45% | ₹47,520 | 0.23% |
Moderate
|
|
Sundaram Liquid Fund - Direct Plan
Liquid
Direct
|
₹1,280.54 | 7.32% | 22.72% | 0.00% | ₹7,657 | 0.14% |
Low to Moderate
|
|
Canara Robeco Liquid Fund - Unclaimed Redemption and...
Liquid
Regular
|
₹1,829.59 | 6.34% | 22.70% | 35.38% | ₹7,521 | 0.10% |
Low to Moderate
|
|
Edelweiss Liquid Fund - Direct Plan
Liquid
Direct
|
₹3,616.49 | 6.36% | 22.67% | 35.31% | ₹15,222 | 0.10% |
Low to Moderate
|
|
Edelweiss Liquid Fund - Direct Plan
Liquid
Direct
|
₹3,616.49 | 6.36% | 22.67% | 35.31% | ₹15,222 | 0.10% |
Low to Moderate
|
|
Edelweiss Liquid Fund - Direct Plan
Liquid
Direct
|
₹3,616.48 | 6.36% | 22.66% | 35.31% | ₹15,222 | 0.10% |
Low to Moderate
|
|
Edelweiss Liquid Fund - Direct Plan
Liquid
Direct
|
₹3,616.45 | 6.36% | 22.66% | 35.31% | ₹15,222 | 0.10% |
Low to Moderate
|
|
Edelweiss Liquid Fund - Direct Plan
Liquid
Direct
|
₹3,616.45 | 6.36% | 22.66% | 35.31% | ₹15,222 | 0.10% |
Low to Moderate
|
What is the current NAV of Mirae Asset Liquid Fund Regular IDCW-Monthly?
What is the fund size (AUM) of Mirae Asset Liquid Fund Regular IDCW-Monthly?
What are the historical returns of Mirae Asset Liquid Fund Regular IDCW-Monthly?
What is the risk level of Mirae Asset Liquid Fund Regular IDCW-Monthly?
What is the minimum investment amount for Mirae Asset Liquid Fund Regular IDCW-Monthly?
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