Mirae Asset Liquid Regular-G    Plan:
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Plan Suspended for Sales
Fund not rated
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 Current Stats & Profile
Latest NAV   1210.8473 (19/05/13)
52-Week High   1210.8473 (19/05/13)
52-Week Low   1125.6331 (20/05/12)
Fund Category   Debt: Liquid
Type   Open End
Launch Date   March  2008
Risk Grade   Not Rated
Return Grade   Not Rated
Net Assets (Cr) *   1.27 (31/03/13) 
Benchmark   Crisil Liquid
* Quarterly Average
 
 Trailing Returns
As on 17 May 2013 Fund Category
Year to Date 2.80 3.14
1-Month 0.56 0.68
3-Month 1.80 2.09
1-Year 7.59 8.71
3-Year 6.69 8.21
5-Year 3.56 7.29
Return Since Launch 3.74 --
Returns upto 1 year are absolute and over 1 year are annualised.
 Relative Performance (Fund Vs Category Average)

 Portfolio Summary
 Top Holdings    As on 30 Apr
 Name of Holding   % Net Assets
Others    100.70
Others    -0.70

View additional holdings information
 
Top 3 Instruments % Net Asset
As on 30/04/13
Reverse Repo/CBLO   100.70
Net Payables   -0.70
   Indicates an increase or decrease or no change in holding since last portfolio
 Indicates a new holding since last portfolio.
 News and Analysis
Headline Date Story Type
Mirae MF changes fund manager in fixed income schemes   01 Sep 2010   Fund News
Gilt Medium and Long Term tops in May   04 Jun 2010   Fundwire
Mirae Asset Liquid Plus Announces Dividend   21 Jul 2008   Fund News

View all news/stories related to this fund
Value Research Star Rating