BANK OF INDIA Liquid Fund- Regular Plan- Growth

Category: Debt: Liquid
Launch Date: 16-07-2008
Asset Class: Fixed Income
Benchmark: CRISIL Liquid Debt A-I Index
Expense Ratio: 0.13% As on (30-11-2024)
Status: Open Ended Schemes
Minimum Investment: 5000.0
Minimum Topup: 1000.0
Total Assets: 1,848.06 Cr As on (29-11-2024)
Turn over: -
NAV as on 22-12-2024

2899.4429

1.12 (0.0386%)

CAGR Since Inception

6.69%

CRISIL Liquid Debt A-I Index 5.46%

PERFORMANCE of BANK OF INDIA Liquid Fund- Regular Plan- Growth

Scheme Performance (%)

Data as on - 20-12-2024

Yearly Performance (%)

Fund Managers

Mithraem Bharucha

Investment Objective

The fund aims to generate reasonable market related returns by investing in Money Market instruments. Also seeks to provide high liquidity to investors. The scheme would be investing more than 80% into securities having average maturity less than or equal to 6 months with low risk profile.

NAV & Lumpsum details( Invested amount 1,00,000)

Show All Monthly Lumpsum Returns
NAV Date NAV Units Market
Value
Returns
(%)
16-07-2008 1000.0 100.0 100000 0.0 %
17-08-2008 1007.7591 - 100776 0.78 %
16-09-2008 1015.0176 - 101502 1.5 %
16-10-2008 1024.6143 - 102461 2.46 %
16-11-2008 1032.7154 - 103272 3.27 %
16-12-2008 1039.4873 - 103949 3.95 %
16-01-2009 1045.2381 - 104524 4.52 %
16-02-2009 1049.8178 - 104982 4.98 %
16-03-2009 1053.4516 - 105345 5.34 %
16-04-2009 1057.7784 - 105778 5.78 %
17-05-2009 1061.2448 - 106124 6.12 %
16-06-2009 1064.7868 - 106479 6.48 %
16-07-2009 1068.2663 - 106827 6.83 %
16-08-2009 1071.9406 - 107194 7.19 %
16-09-2009 1075.2839 - 107528 7.53 %
16-10-2009 1078.4352 - 107844 7.84 %
16-11-2009 1081.1316 - 108113 8.11 %
16-12-2009 1083.3229 - 108332 8.33 %
17-01-2010 1085.8556 - 108586 8.59 %
16-02-2010 1088.4708 - 108847 8.85 %
16-03-2010 1091.3617 - 109136 9.14 %
16-04-2010 1094.7286 - 109473 9.47 %
16-05-2010 1098.1083 - 109811 9.81 %
16-06-2010 1101.9349 - 110193 10.19 %
16-07-2010 1105.8658 - 110587 10.59 %
16-08-2010 1110.1112 - 111011 11.01 %
16-09-2010 1114.3666 - 111437 11.44 %
17-10-2010 1119.5114 - 111951 11.95 %
16-11-2010 1125.0742 - 112507 12.51 %
16-12-2010 1131.0564 - 113106 13.11 %
16-01-2011 1137.2904 - 113729 13.73 %
16-02-2011 1143.7555 - 114376 14.38 %
16-03-2011 1149.5337 - 114953 14.95 %
17-04-2011 1156.618 - 115662 15.66 %
16-05-2011 1162.8082 - 116281 16.28 %
16-06-2011 1169.9921 - 116999 17.0 %
17-07-2011 1177.7566 - 117776 17.78 %
16-08-2011 1185.5695 - 118557 18.56 %
16-09-2011 1192.9872 - 119299 19.3 %
16-10-2011 1200.1509 - 120015 20.02 %
16-11-2011 1207.7913 - 120779 20.78 %
16-12-2011 1215.4469 - 121545 21.55 %
16-01-2012 1223.3767 - 122338 22.34 %
16-02-2012 1231.3783 - 123138 23.14 %
16-03-2012 1238.7586 - 123876 23.88 %
16-04-2012 1247.3062 - 124731 24.73 %
16-05-2012 1255.4388 - 125544 25.54 %
17-06-2012 1263.9806 - 126398 26.4 %
16-07-2012 1272.2678 - 127227 27.23 %
16-08-2012 1281.3265 - 128133 28.13 %
16-09-2012 1290.3647 - 129036 29.04 %
16-10-2012 1299.2013 - 129920 29.92 %
16-11-2012 1308.4673 - 130847 30.85 %
16-12-2012 1317.5341 - 131753 31.75 %
16-01-2013 1327.1251 - 132713 32.71 %
17-02-2013 1336.922 - 133692 33.69 %
17-03-2013 1345.5409 - 134554 34.55 %
16-04-2013 1354.9834 - 135498 35.5 %
16-05-2013 1364.2255 - 136423 36.42 %
16-06-2013 1373.5867 - 137359 37.36 %
16-07-2013 1380.3935 - 138039 38.04 %
16-08-2013 1391.9714 - 139197 39.2 %
16-09-2013 1404.8258 - 140483 40.48 %
16-10-2013 1417.1406 - 141714 41.71 %
17-11-2013 1428.9693 - 142897 42.9 %
16-12-2013 1439.1816 - 143918 43.92 %
16-01-2014 1450.0229 - 145002 45.0 %
16-02-2014 1460.6229 - 146062 46.06 %
17-03-2014 1470.9117 - 147091 47.09 %
16-04-2014 1482.578 - 148258 48.26 %
16-05-2014 1493.3817 - 149338 49.34 %
16-06-2014 1504.4074 - 150441 50.44 %
16-07-2014 1514.9908 - 151499 51.5 %
16-08-2014 1525.7811 - 152578 52.58 %
16-09-2014 1536.7398 - 153674 53.67 %
16-10-2014 1547.5404 - 154754 54.75 %
16-11-2014 1558.7838 - 155878 55.88 %
16-12-2014 1569.5293 - 156953 56.95 %
16-01-2015 1580.6451 - 158065 58.06 %
16-02-2015 1591.7982 - 159180 59.18 %
16-03-2015 1602.0393 - 160204 60.2 %
16-04-2015 1614.4022 - 161440 61.44 %
16-05-2015 1625.3019 - 162530 62.53 %
16-06-2015 1636.7086 - 163671 63.67 %
16-07-2015 1647.4953 - 164750 64.75 %
16-08-2015 1658.4129 - 165841 65.84 %
16-09-2015 1669.0571 - 166906 66.91 %
16-10-2015 1679.6774 - 167968 67.97 %
16-11-2015 1690.1689 - 169017 69.02 %
16-12-2015 1700.2401 - 170024 70.02 %
16-01-2016 1710.9845 - 171098 71.1 %
16-02-2016 1721.8393 - 172184 72.18 %
16-03-2016 1732.525 - 173252 73.25 %
16-04-2016 1745.7962 - 174580 74.58 %
16-05-2016 1757.0062 - 175701 75.7 %
16-06-2016 1768.4457 - 176845 76.84 %
16-07-2016 1779.3872 - 177939 77.94 %
16-08-2016 1790.2429 - 179024 79.02 %
16-09-2016 1800.7512 - 180075 80.08 %
16-10-2016 1810.9095 - 181091 81.09 %
16-11-2016 1821.3192 - 182132 82.13 %
16-12-2016 1830.9043 - 183090 83.09 %
16-01-2017 1840.9236 - 184092 84.09 %
16-02-2017 1851.1916 - 185119 85.12 %
16-03-2017 1860.5539 - 186055 86.06 %
16-04-2017 1871.0541 - 187105 87.11 %
16-05-2017 1880.9841 - 188098 88.1 %
16-06-2017 1891.3104 - 189131 89.13 %
16-07-2017 1901.5452 - 190155 90.16 %
16-08-2017 1912.0784 - 191208 91.21 %
16-09-2017 1922.3959 - 192240 92.24 %
16-10-2017 1932.5525 - 193255 93.25 %
16-11-2017 1942.9386 - 194294 94.29 %
16-12-2017 1953.0122 - 195301 95.3 %
16-01-2018 1963.7757 - 196378 96.38 %
16-02-2018 1974.6812 - 197468 97.47 %
16-03-2018 1985.5625 - 198556 98.56 %
16-04-2018 1998.9518 - 199895 99.89 %
16-05-2018 2010.1021 - 201010 101.01 %
16-06-2018 2022.3476 - 202235 102.24 %
16-07-2018 2034.8535 - 203485 103.48 %
16-08-2018 2047.3568 - 204736 104.74 %
16-09-2018 2059.4808 - 205948 105.95 %
16-10-2018 2071.7498 - 207175 107.17 %
16-11-2018 2084.9611 - 208496 108.5 %
16-12-2018 2097.6147 - 209761 109.76 %
16-01-2019 2110.4576 - 211046 111.05 %
16-02-2019 2122.8651 - 212287 112.29 %
16-03-2019 2133.9581 - 213396 113.4 %
16-04-2019 2147.906 - 214791 114.79 %
16-05-2019 2160.1905 - 216019 116.02 %
16-06-2019 2172.9356 - 217294 117.29 %
16-07-2019 2184.2935 - 218429 118.43 %
16-08-2019 2195.4793 - 219548 119.55 %
16-09-2019 2205.8824 - 220588 120.59 %
16-10-2019 2215.9821 - 221598 121.6 %
16-11-2019 2225.3817 - 222538 122.54 %
16-12-2019 2234.4329 - 223443 123.44 %
16-01-2020 2243.6822 - 224368 124.37 %
16-02-2020 2253.0344 - 225303 125.3 %
16-03-2020 2261.6392 - 226164 126.16 %
16-04-2020 2273.5898 - 227359 127.36 %
16-05-2020 2284.0042 - 228400 128.4 %
16-06-2020 2291.9638 - 229196 129.2 %
16-07-2020 2298.3747 - 229837 129.84 %
16-08-2020 2304.3468 - 230435 130.44 %
16-09-2020 2310.2038 - 231020 131.02 %
16-10-2020 2316.5467 - 231655 131.66 %
16-11-2020 2322.6577 - 232266 132.27 %
16-12-2020 2328.0022 - 232800 132.8 %
16-01-2021 2333.4748 - 233347 133.35 %
16-02-2021 2339.8119 - 233981 133.98 %
16-03-2021 2345.3159 - 234532 134.53 %
16-04-2021 2352.1304 - 235213 135.21 %
16-05-2021 2358.0672 - 235807 135.81 %
16-06-2021 2364.311 - 236431 136.43 %
16-07-2021 2370.5716 - 237057 137.06 %
16-08-2021 2377.1419 - 237714 137.71 %
16-09-2021 2383.4403 - 238344 138.34 %
16-10-2021 2389.8225 - 238982 138.98 %
16-11-2021 2396.6361 - 239664 139.66 %
16-12-2021 2403.3949 - 240339 140.34 %
16-01-2022 2410.9051 - 241091 141.09 %
16-02-2022 2418.0353 - 241804 141.8 %
16-03-2022 2424.5235 - 242452 142.45 %
17-04-2022 2432.825 - 243282 143.28 %
16-05-2022 2439.2146 - 243921 143.92 %
16-06-2022 2448.6346 - 244863 144.86 %
17-07-2022 2459.2602 - 245926 145.93 %
16-08-2022 2468.9582 - 246896 146.9 %
16-09-2022 2480.0756 - 248008 148.01 %
16-10-2022 2491.3647 - 249136 149.14 %
16-11-2022 2504.8842 - 250488 150.49 %
16-12-2022 2518.1799 - 251818 151.82 %
16-01-2023 2532.5919 - 253259 153.26 %
16-02-2023 2546.161 - 254616 154.62 %
16-03-2023 2558.9196 - 255892 155.89 %
16-04-2023 2575.83 - 257583 157.58 %
16-05-2023 2589.7498 - 258975 158.97 %
16-06-2023 2605.1482 - 260515 160.52 %
16-07-2023 2619.8342 - 261983 161.98 %
16-08-2023 2634.457 - 263446 163.45 %
17-09-2023 2650.0992 - 265010 165.01 %
16-10-2023 2664.5743 - 266457 166.46 %
16-11-2023 2680.1532 - 268015 168.02 %
17-12-2023 2695.8156 - 269582 169.58 %
16-01-2024 2712.8745 - 271287 171.29 %
16-02-2024 2729.2511 - 272925 172.92 %
17-03-2024 2746.0797 - 274608 174.61 %
16-04-2024 2764.7826 - 276478 176.48 %
16-05-2024 2779.6943 - 277969 177.97 %
17-06-2024 2797.2069 - 279721 179.72 %
16-07-2024 2813.1494 - 281315 181.31 %
16-08-2024 2829.7054 - 282971 182.97 %
16-09-2024 2846.1484 - 284615 184.62 %
16-10-2024 2863.5004 - 286350 186.35 %
17-11-2024 2880.7942 - 288079 188.08 %
16-12-2024 2896.3796 - 289638 189.64 %
22-12-2024 2899.4429 - 289944 189.94 %

RETURNS CALCULATOR for BANK OF INDIA Liquid Fund- Regular Plan- Growth

Growth of 10000 In SIP (Fund vs Benchmark)

Amount :
Period :
Start :
End :

Growth of 10000 In LUMPSUM (Fund vs Benchmark)

Amount :
Start :

Rolling Returns

Rolling returns are the annualized returns of the scheme taken for a specified period (rolling returns period) on every day/week/month and taken till the last day of the duration. In this chart we are showing the annualized returns over the rolling returns period on every day from the start date and comparing it with the benchmark. Rolling returns is the best measure of a fund's performance. Trailing returns have a recency bias and point to point returns are specific to the period in consideration. Rolling returns, on the other hand, measures the fund's absolute and relative performance across all timescales, without bias.

Riskometer

Key Performance and Risk Statistics of BANK OF INDIA Liquid Fund- Regular Plan- Growth

Key Statistics Volatility Sharpe Ratio Alpha Beta Yield to Maturity Average Maturity
BANK OF INDIA Liquid Fund- Regular Plan- Growth 0.48 0.42 2.15 0.97 7.05 0.15
Debt: Liquid - - - - - -

PEER COMPARISION of BANK OF INDIA Liquid Fund- Regular Plan- Growth

Amount :
Start :
End :
Period
Data as on - 20-12-2024
Scheme Name Launch
Date
1-Year
Ret (%)
2-Yrs
Ret (%)
3-Yrs
Ret (%)
5-Yrs
Ret (%)
10-Yrs
Ret (%)
BANK OF INDIA Liquid Fund- Regular Plan- Growth 16-07-2008 7.45 7.24 6.43 5.33 6.32
HSBC Liquid Fund - Growth 04-12-2002 9.35 9.1 7.37 5.53 5.97
Axis Liquid Fund - Regular Plan - Growth Option 05-10-2009 7.4 7.22 6.39 5.35 6.36
LIC MF Liquid Fund-Regular Plan-Growth 13-03-2002 7.4 7.17 6.31 5.29 6.28
Invesco India Liquid Fund - Growth 17-11-2006 7.39 7.18 6.35 5.28 6.3
DSP Liquidity Fund - Regular Plan - Growth 20-11-2005 7.39 7.17 6.35 5.29 6.28
Canara Robeco Liquid Fund - Regular Plan - Growth Option 05-07-2008 7.38 7.2 6.38 5.21 6.2
ICICI Prudential Liquid Fund - Growth 01-11-2005 7.38 7.17 6.32 5.29 6.31
Aditya Birla Sun Life Liquid Fund - Growth 05-03-2004 7.37 7.2 6.36 5.33 6.35
Groww Liquid Fund (formerly known as Indiabulls Liquid Fund) - Regular Plan - Growth Option 25-10-2011 7.37 7.05 6.19 5.12 6.25

PORTFOLIO ANALYSIS of BANK OF INDIA Liquid Fund- Regular Plan- Growth

Asset Allocation (%)

Allocation Percentage (%)

Market Cap Distribution

Others

100.0%

Total

100%