Debt: Liquid - Returns - Value Research Online
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Debt: Liquid

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Debt: Liquid
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Fund  |  Rating Ratings 1-Month 3-Month 1-Year 3-Year 5-Year 10-Year
Return Rank Return Rank Return Rank Return Rank Return Rank Return Rank
Aditya Birla Sun Life Liquid Fund (Erstwhile Aditya Birla Sun Life Cash Plus)  | 4 0.564/431.762/437.435/397.097/377.617/367.904/28
Aditya Birla Sun Life Liquid Fund - Direct Plan (Erstwhile Aditya Birla Sun Life Cash Plus)  | 4 0.575/431.782/437.535/397.188/377.707/36--
Axis Liquid Fund  | 5 0.5413/431.6912/437.3910/397.105/377.609/36--
Axis Liquid Fund - Direct Plan  | 3 0.5517/431.7116/437.4515/397.1710/377.6710/36--
Baroda Liquid - Unclaimed 0 ------------
Baroda Liquid Fund  | 5 0.5420/431.6621/437.3614/397.088/377.616/367.869/28
Baroda Liquid Fund - Direct Plan  | 5 0.5520/431.6921/437.4613/397.195/377.724/36--
BNP Paribas Liquid Fund (Erstwhile BNP Paribas Overnight Reg)  | 3 0.557/431.6914/437.3713/397.0320/377.5222/367.942/28
BNP Paribas Liquid Fund - Direct Plan (Erstwhile BNP Paribas Overnight Reg)  | 4 0.567/431.7212/437.518/397.1513/377.6222/36--
BOI AXA Liquid - Unclaimed 0 ------------
BOI AXA Liquid Fund - Direct Plan  | 3 0.5328/431.6429/437.3127/397.1319/377.6414/36--
BOI AXA Liquid Fund - Regular Plan  | 4 0.5329/431.6229/437.2226/397.0321/377.5418/367.4323/28
Canara Robeco Liquid Fund - Direct Plan  | 2 0.5134/431.5831/437.1830/396.9630/377.4828/36--
Canara Robeco Liquid Fund - Regular Plan  | 3 0.5034/431.5832/437.1429/396.9230/377.4427/367.7818/28
DSP Liquid ETF - Regular Plan 0 0.4242/431.4738/435.3936/39------
DSP Liquidity Fund - Direct Plan  | 3 0.5514/431.6920/437.4117/397.1416/377.6416/36--
DSP Liquidity Fund - Regular Plan  | 3 0.5416/431.6720/437.3119/397.0222/377.5320/367.7917/28
Edelweiss Liquid Fund - Direct Plan  | 4 0.573/431.746/437.499/397.0824/377.4629/36--
Edelweiss Liquid Fund - Regular Plan  | 4 0.558/431.6916/437.3515/396.9626/377.3528/367.7720/28
Essel Liquid Fund  | 4 0.5035/431.5335/437.2027/397.0811/377.5910/36--
Essel Liquid Fund - Direct Plan  | 3 0.5133/431.5633/437.3226/397.204/377.706/36--
Franklin India Liquid Fund - Direct Plan (Erstwhile Franklin India TMA Reg)  | 5 0.574/431.744/437.622/397.203/377.742/36--
Franklin India Liquid Fund - Super Institutional Plan (Erstwhile Franklin India TMA Reg)  | 5 0.563/431.734/437.561/397.131/377.672/367.943/28
HDFC Liquid Fund  | 3 0.5421/431.6719/437.2622/396.9329/377.4925/367.7521/28
HDFC Liquid Fund - Direct Plan  | 2 0.5421/431.6919/437.3720/397.0327/377.5824/36--
HSBC Cash Fund  | 4 0.5512/431.717/437.3911/397.0712/377.5616/36--
HSBC Cash Fund - Direct Plan  | 3 0.5511/431.739/437.4611/397.1414/377.6320/36--
ICICI Prudential Liquid ETF 0 0.4341/431.2942/43--------
ICICI Prudential Liquid Fund (Erstwhile ICICI Prudential Liquid)  | 3 0.5511/431.6913/437.3317/397.0416/377.5615/367.877/28
ICICI Prudential Liquid Fund - Direct Plan (Erstwhile ICICI Prudential Liquid)  | 3 0.5513/431.7114/437.4118/397.1123/377.6319/36--
IDBI Liquid Fund  | 4 0.5417/431.7011/437.407/397.0419/377.5221/36--
IDBI Liquid Fund - Direct Plan  | 4 0.5515/431.7310/437.527/397.1612/377.6415/36--
IDFC Cash Fund - Direct Plan  | 2 0.5330/431.6230/437.1929/397.0229/377.5825/36--
IDFC Cash Fund - Regular Plan  | 3 0.5230/431.6130/437.1130/396.9428/377.5024/367.8016/28
IIFL Liquid Fund - Direct Plan  | 2 0.5036/431.5335/436.6232/396.5531/377.0830/36--
IIFL Liquid Fund - Regular Plan  | 2 0.4936/431.5236/436.5733/396.4932/377.0331/36--
Indiabulls Liquid Fund  | 3 0.5324/431.6718/437.2325/397.0614/377.624/36--
Indiabulls Liquid Fund - Direct Plan  | 2 0.5423/431.7017/437.3324/397.179/377.733/36--
Invesco India Liquid Fund  | 3 0.5231/431.6428/437.2821/397.0418/377.5712/367.868/28
Invesco India Liquid Fund - Direct Plan  | 3 0.5331/431.6528/437.3521/397.1221/377.6512/36--
ITI Liquid Fund - Direct Plan 0 0.4738/431.4437/43--------
ITI Liquid Fund - Regular Plan 0 0.4639/431.4139/43--------
JM Liquid Fund (Erstwhile JM High Liquidity )  | 4 0.5418/431.6817/437.399/397.103/377.633/367.876/28
JM Liquid Fund - Direct Plan (Erstwhile JM High Liquidity )  | 4 0.5519/431.7018/437.4810/397.196/377.715/36--
Kotak Liquid - Direct Plan  | 2 0.5329/431.6625/437.2928/397.0626/377.5923/36--
Kotak Liquid - Regular Plan  | 3 0.5328/431.6524/437.2323/397.0023/377.5319/367.8411/28
L&T Liquid Fund  | 4 0.5326/431.6425/437.2920/397.0515/377.5714/367.8214/28
L&T Liquid Fund - Direct Plan  | 3 0.5427/431.6627/437.3423/397.1122/377.6318/36--
LIC MF Liquid Fund  | 3 0.5325/431.6427/437.2028/396.9725/377.5123/367.7222/28
LIC MF Liquid Fund - Direct Plan  | 3 0.5518/431.6823/437.3522/397.1220/377.6513/36--
Mahindra Liquid Fund - Direct Plan  | 5 0.566/431.738/437.554/397.232/37----
Mahindra Liquid Fund - Regular Plan  | 4 0.555/431.708/437.436/397.0810/37----
Mirae Asset Cash Management Fund  | 3 0.5323/431.6622/437.3218/396.9824/377.3129/367.0226/28
Mirae Asset Cash Management Fund - Direct Plan  | 3 0.5424/431.6922/437.3819/397.0725/377.5027/36--
Motilal Oswal Liquid Fund - Direct Plan 0 0.5035/431.4138/43--------
Motilal Oswal Liquid Fund - Regular Plan 0 0.4937/431.3740/43--------
Motilal Oswal Liquid Fund - Unclaimed 0 ------------
Parag Parikh Liquid Fund - Direct Plan 0 0.572/431.5732/436.4833/39------
Parag Parikh Liquid Fund - Regular Plan 0 0.562/431.5434/436.3734/39------
PGIM India Insta Cash Fund  | 5 0.5414/431.735/437.474/397.112/377.625/367.875/28
PGIM India Insta Cash Fund - Direct Plan  | 4 0.5516/431.745/437.536/397.1711/377.689/36--
Principal Cash Management Fund  | 1 0.4938/431.4937/43-2.2539/393.8137/375.6236/366.8327/28
Principal Cash Management Fund - Direct Plan  | 1 0.4937/431.5036/43-2.1736/393.8835/375.7034/36--
Quant Liquid - Direct Plan  | 4 0.661/431.891/437.841/397.251/377.891/36--
Quant Liquid Plan  | 3 0.631/431.811/437.552/397.096/377.771/368.341/28
Quantum Liquid - Regular Plan  | 2 0.5133/431.5433/436.6632/396.3233/376.8832/367.3324/28
Quantum Liquid Fund - Direct Plan  | 2 0.5132/431.5634/436.7231/396.3732/376.9331/367.391/28
Reliance ETF Liquid BeES 0 0.4043/431.2043/435.2437/395.2135/375.7635/366.1728/28
Reliance Liquid Fund (Erstwhile Reliance Liquid Treasury)  | 5 0.556/431.743/437.473/397.104/377.608/367.8510/28
Reliance Liquid Fund - Direct Plan (Erstwhile Reliance Liquid Treasury)  | 5 0.568/431.763/437.553/397.197/377.698/36--
SBI Liquid Fund (Erstwhile SBI Premier Liquid Inst)  | 3 0.5419/431.6426/437.2324/396.9527/377.4926/367.7819/28
SBI Liquid Fund - Direct Plan (Erstwhile SBI Premier Liquid Inst)  | 2 0.5422/431.6626/437.3225/397.0328/377.5626/36--
Sundaram Money Fund - Direct Plan  | 3 0.5610/431.7115/437.4612/397.1318/377.6417/36--
Sundaram Money Fund - Regular Plan  | 3 0.5510/431.6915/437.3812/397.0417/377.5517/367.8312/28
Tata Liquid Fund - Direct Plan (Erstwhile Tata Money Market Fund)  | 3 0.5512/431.7311/437.4316/397.1415/377.6511/36--
Tata Liquid Fund - Regular Plan (Erstwhile Tata Money Market Fund)  | 4 0.5415/431.709/437.3516/397.0713/377.5811/367.8213/28
Taurus Liquid Fund - Direct Plan  | 1 0.4439/431.3139/435.8234/394.1134/375.8633/36--
Taurus Liquid Fund - Regular Plan  | 2 0.4340/431.3041/435.7835/394.0336/375.7834/36--
Union Liquid - Unclaimed 0 ------------
Union Liquid Fund  | 1 0.5327/431.6523/433.4138/395.6434/376.6533/36--
Union Liquid Fund - Direct Plan  | 1 0.5426/431.6824/433.5235/395.7633/376.7732/36--
UTI Liquid Cash Fund - Direct Plan  | 3 0.5425/431.7113/437.4614/397.1317/377.6221/36--
UTI Liquid Cash Fund - Regular Plan  | 4 0.5422/431.7010/437.398/397.089/377.5713/367.8115/28
YES Liquid Fund - Direct Plan 0 0.569/431.737/43--------
YES Liquid Fund - Regular Plan 0 0.559/431.716/43--------
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