Groww Liquid Fund (formerly known as Indiabulls Liquid Fund) - Regular Plan - Growth Option

Category: Debt: Liquid
Launch Date: 25-10-2011
Asset Class: Fixed Income
Benchmark: CRISIL Liquid Fund BI Index
Expense Ratio: 0.2% As on (30-09-2024)
Status: Open Ended Schemes
Minimum Investment: 100.0
Minimum Topup: 100.0
Total Assets: 189.76 Cr As on (30-09-2024)
Turn over: -
NAV as on 17-10-2024

2405.2735

0.42 (0.0174%)

CAGR Since Inception

6.99%

CRISIL Liquid Fund BI Index 5.4%

PERFORMANCE of Groww Liquid Fund (formerly known as Indiabulls Liquid Fund) - Regular Plan - Growth Option

Scheme Performance (%)

Data as on - 17-10-2024

Yearly Performance (%)

Fund Managers

Kaustubh Sule

Investment Objective

The scheme seeks to provide a high level of liquidity with returns commensurate with low risk through a portfolio of money market and debt securities with maturity of up to 91days.

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

Show All Monthly Lumpsum Returns
NAV Date NAV Units Market
Value
Returns
(%)
25-10-2011 1000.0 100.0 100000 0.0 %
25-11-2011 1008.0207 - 100802 0.8 %
25-12-2011 1015.6898 - 101569 1.57 %
25-01-2012 1023.9642 - 102396 2.4 %
26-02-2012 1032.5476 - 103255 3.26 %
25-03-2012 1040.3998 - 104040 4.04 %
25-04-2012 1049.9758 - 104998 5.0 %
25-05-2012 1058.7084 - 105871 5.87 %
25-06-2012 1067.5272 - 106753 6.75 %
25-07-2012 1075.7718 - 107577 7.58 %
26-08-2012 1084.4367 - 108444 8.44 %
25-09-2012 1092.2617 - 109226 9.23 %
25-10-2012 1099.9289 - 109993 9.99 %
25-11-2012 1107.829 - 110783 10.78 %
25-12-2012 1115.5407 - 111554 11.55 %
27-01-2013 1124.1538 - 112415 12.41 %
25-02-2013 1131.6735 - 113167 13.17 %
25-03-2013 1139.1978 - 113920 13.92 %
25-04-2013 1148.0404 - 114804 14.8 %
26-05-2013 1156.459 - 115646 15.65 %
25-06-2013 1164.3199 - 116432 16.43 %
25-07-2013 1168.0507 - 116805 16.8 %
25-08-2013 1178.5819 - 117858 17.86 %
25-09-2013 1189.2169 - 118922 18.92 %
25-10-2013 1198.756 - 119876 19.88 %
25-11-2013 1208.3844 - 120838 20.84 %
25-12-2013 1217.2559 - 121726 21.73 %
26-01-2014 1226.6448 - 122664 22.66 %
25-02-2014 1235.2818 - 123528 23.53 %
25-03-2014 1244.2399 - 124424 24.42 %
25-04-2014 1254.26 - 125426 25.43 %
25-05-2014 1263.5432 - 126354 26.35 %
25-06-2014 1272.8402 - 127284 27.28 %
25-07-2014 1281.8261 - 128183 28.18 %
25-08-2014 1291.1307 - 129113 29.11 %
25-09-2014 1300.5968 - 130060 30.06 %
25-10-2014 1309.9702 - 130997 31.0 %
25-11-2014 1319.5267 - 131953 31.95 %
25-12-2014 1328.7039 - 132870 32.87 %
25-01-2015 1338.3769 - 133838 33.84 %
25-02-2015 1347.8992 - 134790 34.79 %
25-03-2015 1356.7161 - 135672 35.67 %
25-04-2015 1366.8977 - 136690 36.69 %
25-05-2015 1376.3704 - 137637 37.64 %
25-06-2015 1385.9462 - 138595 38.59 %
25-07-2015 1395.1768 - 139518 39.52 %
25-08-2015 1404.459 - 140446 40.45 %
25-09-2015 1413.6501 - 141365 41.37 %
25-10-2015 1423.1655 - 142317 42.32 %
25-11-2015 1432.328 - 143233 43.23 %
25-12-2015 1441.2211 - 144122 44.12 %
25-01-2016 1450.5608 - 145056 45.06 %
25-02-2016 1459.9964 - 146000 46.0 %
25-03-2016 1469.3573 - 146936 46.94 %
25-04-2016 1481.0014 - 148100 48.1 %
25-05-2016 1490.7248 - 149072 49.07 %
26-06-2016 1500.7921 - 150079 50.08 %
25-07-2016 1509.9759 - 150998 51.0 %
25-08-2016 1519.1784 - 151918 51.92 %
25-09-2016 1528.1412 - 152814 52.81 %
25-10-2016 1537.0981 - 153710 53.71 %
25-11-2016 1546.2868 - 154629 54.63 %
25-12-2016 1554.8583 - 155486 55.49 %
25-01-2017 1563.7045 - 156370 56.37 %
26-02-2017 1572.7901 - 157279 57.28 %
26-03-2017 1580.9196 - 158092 58.09 %
25-04-2017 1589.5092 - 158951 58.95 %
25-05-2017 1598.0034 - 159800 59.8 %
26-06-2017 1607.1227 - 160712 60.71 %
25-07-2017 1615.6448 - 161564 61.56 %
25-08-2017 1624.5112 - 162451 62.45 %
25-09-2017 1633.2745 - 163327 63.33 %
25-10-2017 1641.8652 - 164187 64.19 %
25-11-2017 1650.714 - 165071 65.07 %
25-12-2017 1659.2447 - 165924 65.92 %
25-01-2018 1668.5473 - 166855 66.86 %
25-02-2018 1677.9171 - 167792 67.79 %
25-03-2018 1687.1432 - 168714 68.71 %
25-04-2018 1697.6537 - 169765 69.77 %
25-05-2018 1707.0349 - 170703 70.7 %
25-06-2018 1717.8081 - 171781 71.78 %
25-07-2018 1728.2431 - 172824 72.82 %
25-08-2018 1738.5618 - 173856 73.86 %
25-09-2018 1748.7317 - 174873 74.87 %
25-10-2018 1759.0226 - 175902 75.9 %
25-11-2018 1769.6875 - 176969 76.97 %
25-12-2018 1780.3276 - 178033 78.03 %
25-01-2019 1791.3552 - 179136 79.14 %
25-02-2019 1802.0549 - 180205 80.2 %
25-03-2019 1811.6003 - 181160 81.16 %
25-04-2019 1823.0723 - 182307 82.31 %
25-05-2019 1833.9403 - 183394 83.39 %
25-06-2019 1844.6343 - 184463 84.46 %
25-07-2019 1854.4368 - 185444 85.44 %
25-08-2019 1863.9787 - 186398 86.4 %
25-09-2019 1872.5359 - 187254 87.25 %
25-10-2019 1881.5515 - 188155 88.16 %
25-11-2019 1889.8312 - 188983 88.98 %
25-12-2019 1897.7328 - 189773 89.77 %
25-01-2020 1906.1113 - 190611 90.61 %
25-02-2020 1914.5797 - 191458 91.46 %
25-03-2020 1921.3578 - 192136 92.14 %
25-04-2020 1932.2439 - 193224 93.22 %
25-05-2020 1938.2062 - 193821 93.82 %
25-06-2020 1942.9752 - 194298 94.3 %
25-07-2020 1947.6849 - 194768 94.77 %
25-08-2020 1952.6139 - 195261 95.26 %
25-09-2020 1957.4108 - 195741 95.74 %
25-10-2020 1962.5785 - 196258 96.26 %
25-11-2020 1967.4838 - 196748 96.75 %
25-12-2020 1971.7771 - 197178 97.18 %
25-01-2021 1976.2922 - 197629 97.63 %
25-02-2021 1984.9444 - 198494 98.49 %
25-03-2021 1989.0857 - 198909 98.91 %
25-04-2021 1993.9441 - 199394 99.39 %
25-05-2021 1998.3992 - 199840 99.84 %
25-06-2021 2003.3353 - 200334 100.33 %
25-07-2021 2008.2777 - 200828 100.83 %
25-08-2021 2013.4078 - 201341 101.34 %
25-09-2021 2018.205 - 201820 101.82 %
25-10-2021 2023.0547 - 202305 102.31 %
25-11-2021 2028.3394 - 202834 102.83 %
26-12-2021 2033.6456 - 203365 103.36 %
25-01-2022 2039.0243 - 203902 103.9 %
25-02-2022 2044.8854 - 204489 104.49 %
25-03-2022 2049.8248 - 204982 104.98 %
25-04-2022 2055.6208 - 205562 105.56 %
25-05-2022 2061.4923 - 206149 106.15 %
26-06-2022 2069.0315 - 206903 106.9 %
25-07-2022 2076.3351 - 207634 107.63 %
25-08-2022 2085.0133 - 208501 108.5 %
25-09-2022 2093.824 - 209382 109.38 %
25-10-2022 2103.7879 - 210379 110.38 %
25-11-2022 2114.8095 - 211481 111.48 %
25-12-2022 2125.7387 - 212574 112.57 %
25-01-2023 2137.0499 - 213705 113.7 %
26-02-2023 2148.6796 - 214868 114.87 %
26-03-2023 2159.4813 - 215948 115.95 %
25-04-2023 2170.7109 - 217071 117.07 %
25-05-2023 2182.117 - 218212 118.21 %
25-06-2023 2194.1025 - 219410 119.41 %
25-07-2023 2206.0169 - 220602 120.6 %
25-08-2023 2218.1751 - 221818 121.82 %
25-09-2023 2230.9033 - 223090 123.09 %
25-10-2023 2243.2352 - 224324 124.32 %
25-11-2023 2256.2574 - 225626 125.63 %
25-12-2023 2268.948 - 226895 126.89 %
25-01-2024 2283.089 - 228309 128.31 %
25-02-2024 2297.1885 - 229719 129.72 %
25-03-2024 2310.32 - 231032 131.03 %
25-04-2024 2326.3663 - 232637 132.64 %
26-05-2024 2340.0523 - 234005 134.0 %
25-06-2024 2353.1051 - 235311 135.31 %
25-07-2024 2367.1216 - 236712 136.71 %
25-08-2024 2380.7753 - 238078 138.08 %
25-09-2024 2394.6926 - 239469 139.47 %
17-10-2024 2405.2735 - 240527 140.53 %

RETURNS CALCULATOR for Groww Liquid Fund (formerly known as Indiabulls Liquid Fund) - Regular Plan - Growth Option

Growth of 10000 In SIP (Fund vs Benchmark)

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Period :
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End :

Growth of 10000 In LUMPSUM (Fund vs Benchmark)

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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 Groww Liquid Fund (formerly known as Indiabulls Liquid Fund) - Regular Plan - Growth Option

Key Statistics Volatility Sharpe Ratio Alpha Beta Yield to Maturity Average Maturity
Groww Liquid Fund (formerly known as Indiabulls Liquid Fund) - Regular Plan - Growth Option 0.5 -0.12 1.85 0.96 7.03 0.1
Debt: Liquid - - - - - -

PEER COMPARISION of Groww Liquid Fund (formerly known as Indiabulls Liquid Fund) - Regular Plan - Growth Option

Amount :
Start :
End :
Period
Data as on - 17-10-2024
Scheme Name Launch
Date
1-Year
Ret (%)
2-Yrs
Ret (%)
3-Yrs
Ret (%)
5-Yrs
Ret (%)
10-Yrs
Ret (%)
Groww Liquid Fund (formerly known as Indiabulls Liquid Fund) - Regular Plan - Growth Option 25-10-2011 7.38 6.99 5.96 5.06 6.29
HSBC Liquid Fund - Growth 04-12-2002 9.52 8.86 6.99 5.38 5.96
BANK OF INDIA Liquid Fund- Regular Plan- Growth 16-07-2008 7.46 7.21 6.22 5.26 6.35
LIC MF Liquid Fund-Regular Plan-Growth 13-03-2002 7.42 7.12 6.1 5.24 6.32
Axis Liquid Fund - Regular Plan - Growth Option 05-10-2009 7.41 7.18 6.18 5.29 6.39
Invesco India Liquid Fund - Growth 17-11-2006 7.4 7.14 6.14 5.22 6.34
ICICI Prudential Liquid Fund - Growth 05-11-2005 7.39 7.13 6.11 5.24 6.35
Mahindra Manulife Liquid Fund - Regular Plan - Growth 04-07-2016 7.39 7.16 6.16 5.3 0.0
Canara Robeco Liquid Fund - Regular Plan - Growth Option 05-07-2008 7.39 7.17 6.16 5.14 6.24
DSP Liquidity Fund - Regular Plan - Growth 20-11-2005 7.39 7.12 6.13 5.23 6.32

PORTFOLIO ANALYSIS of Groww Liquid Fund (formerly known as Indiabulls Liquid Fund) - Regular Plan - Growth Option

Asset Allocation (%)

Allocation Percentage (%)

Market Cap Distribution

Others

99.61%

Total

100%