Invesco India Liquid Fund - Growth

Category: Debt: Liquid
Launch Date: 17-11-2006
Asset Class: Fixed Income
Benchmark: NIFTY Liquid Index A-I
Expense Ratio: 0.22% As on (30-11-2024)
Status: Open Ended Schemes
Minimum Investment: 1000.0
Minimum Topup: 1000.0
Total Assets: 14,854.77 Cr As on (29-11-2024)
Turn over: -
NAV as on 20-12-2024

3460.0621

0.62 (0.018%)

CAGR Since Inception

7.1%

NIFTY Liquid Index A-I 6.36%

PERFORMANCE of Invesco India Liquid Fund - Growth

Scheme Performance (%)

Data as on - 20-12-2024

Yearly Performance (%)

Fund Managers

Krishna Venkat Cheemalapati, Prateek Jain

Investment Objective

The scheme aims to provide reasonable returns, commensurate with low risk while providing a high level of liquidity, through a portfolio of money market and debt securities.

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

Show All Monthly Lumpsum Returns
NAV Date NAV Units Market
Value
Returns
(%)
17-11-2006 1000.0 100.0 100000 0.0 %
17-12-2006 1006.09 - 100609 0.61 %
17-01-2007 1012.42 - 101242 1.24 %
18-02-2007 1019.13 - 101913 1.91 %
19-03-2007 1025.51 - 102551 2.55 %
17-04-2007 1033.03 - 103303 3.3 %
17-05-2007 1040.57 - 104057 4.06 %
17-06-2007 1046.74 - 104674 4.67 %
17-07-2007 1052.69 - 105269 5.27 %
17-08-2007 1058.23 - 105823 5.82 %
17-09-2007 1064.95 - 106495 6.49 %
17-10-2007 1071.76 - 107176 7.18 %
18-11-2007 1078.93 - 107893 7.89 %
17-12-2007 1085.8 - 108580 8.58 %
17-01-2008 1093.24 - 109324 9.32 %
17-02-2008 1100.74 - 110074 10.07 %
17-03-2008 1107.77 - 110777 10.78 %
17-04-2008 1115.65 - 111565 11.56 %
19-05-2008 1123.33 - 112333 12.33 %
17-06-2008 1130.7 - 113070 13.07 %
17-07-2008 1138.64 - 113864 13.86 %
17-08-2008 1147.08 - 114708 14.71 %
17-09-2008 1155.78 - 115578 15.58 %
17-10-2008 1165.14 - 116514 16.51 %
17-11-2008 1174.66 - 117466 17.47 %
17-12-2008 1183.4 - 118340 18.34 %
18-01-2009 1192.29 - 119229 19.23 %
17-02-2009 1199.65 - 119965 19.96 %
17-03-2009 1205.86 - 120586 20.59 %
17-04-2009 1212.21 - 121221 21.22 %
17-05-2009 1217.54 - 121754 21.75 %
17-06-2009 1222.68 - 122268 22.27 %
17-07-2009 1227.48 - 122748 22.75 %
17-08-2009 1232.18 - 123218 23.22 %
17-09-2009 1236.69 - 123669 23.67 %
19-10-2009 1241.2 - 124120 24.12 %
17-11-2009 1245.27 - 124527 24.53 %
17-12-2009 1249.45 - 124945 24.95 %
17-01-2010 1253.77 - 125377 25.38 %
17-02-2010 1257.92 - 125792 25.79 %
17-03-2010 1261.68 - 126168 26.17 %
18-04-2010 1266.8 - 126680 26.68 %
17-05-2010 1271.12 - 127112 27.11 %
17-06-2010 1276.37 - 127637 27.64 %
18-07-2010 1282.33 - 128233 28.23 %
17-08-2010 1288.18 - 128818 28.82 %
17-09-2010 1294.19 - 129419 29.42 %
17-10-2010 1300.89 - 130089 30.09 %
17-11-2010 1308.64 - 130864 30.86 %
19-12-2010 1316.77 - 131677 31.68 %
17-01-2011 1324.96 - 132496 32.5 %
17-02-2011 1333.96 - 133396 33.4 %
17-03-2011 1342.4543 - 134245 34.24 %
17-04-2011 1352.278 - 135228 35.23 %
17-05-2011 1361.6119 - 136161 36.16 %
17-06-2011 1371.4544 - 137145 37.15 %
17-07-2011 1381.3619 - 138136 38.14 %
17-08-2011 1391.6967 - 139170 39.17 %
18-09-2011 1402.509 - 140251 40.25 %
17-10-2011 1412.5481 - 141255 41.25 %
17-11-2011 1423.4367 - 142344 42.34 %
18-12-2011 1434.4923 - 143449 43.45 %
17-01-2012 1445.6753 - 144568 44.57 %
17-02-2012 1457.3873 - 145739 45.74 %
18-03-2012 1468.9096 - 146891 46.89 %
17-04-2012 1481.5832 - 148158 48.16 %
17-05-2012 1493.8314 - 149383 49.38 %
17-06-2012 1506.2259 - 150623 50.62 %
17-07-2012 1517.8401 - 151784 51.78 %
17-08-2012 1529.7457 - 152975 52.98 %
17-09-2012 1541.2384 - 154124 54.12 %
17-10-2012 1552.131 - 155213 55.21 %
18-11-2012 1563.5639 - 156356 56.36 %
17-12-2012 1573.9801 - 157398 57.4 %
17-01-2013 1585.3767 - 158538 58.54 %
17-02-2013 1596.6806 - 159668 59.67 %
17-03-2013 1607.102 - 160710 60.71 %
17-04-2013 1619.5091 - 161951 61.95 %
17-05-2013 1630.866 - 163087 63.09 %
17-06-2013 1642.219 - 164222 64.22 %
17-07-2013 1649.653 - 164965 64.96 %
18-08-2013 1663.2745 - 166327 66.33 %
17-09-2013 1677.9562 - 167796 67.8 %
17-10-2013 1692.6228 - 169262 69.26 %
17-11-2013 1706.4394 - 170644 70.64 %
17-12-2013 1719.127 - 171913 71.91 %
17-01-2014 1732.1084 - 173211 73.21 %
17-02-2014 1744.8252 - 174483 74.48 %
17-03-2014 1756.6319 - 175663 75.66 %
17-04-2014 1771.2318 - 177123 77.12 %
18-05-2014 1784.6722 - 178467 78.47 %
17-06-2014 1797.4753 - 179748 79.75 %
17-07-2014 1810.1502 - 181015 81.02 %
18-08-2014 1823.603 - 182360 82.36 %
17-09-2014 1836.4282 - 183643 83.64 %
17-10-2014 1849.5943 - 184959 84.96 %
17-11-2014 1863.1287 - 186313 86.31 %
17-12-2014 1876.0377 - 187604 87.6 %
18-01-2015 1889.9735 - 188997 89.0 %
17-02-2015 1902.9828 - 190298 90.3 %
17-03-2015 1915.3316 - 191533 91.53 %
17-04-2015 1930.0291 - 193003 93.0 %
17-05-2015 1943.397 - 194340 94.34 %
17-06-2015 1957.0534 - 195705 95.7 %
17-07-2015 1970.0087 - 197001 97.0 %
17-08-2015 1983.2045 - 198320 98.32 %
17-09-2015 1996.0628 - 199606 99.61 %
18-10-2015 2009.3474 - 200935 100.94 %
17-11-2015 2021.7737 - 202177 102.18 %
17-12-2015 2034.1111 - 203411 103.41 %
17-01-2016 2047.1679 - 204717 104.72 %
17-02-2016 2060.1771 - 206018 106.02 %
17-03-2016 2072.9652 - 207297 107.3 %
17-04-2016 2088.9381 - 208894 108.89 %
17-05-2016 2102.5085 - 210251 110.25 %
17-06-2016 2116.2332 - 211623 111.62 %
17-07-2016 2129.3435 - 212934 112.93 %
17-08-2016 2142.1518 - 214215 114.22 %
18-09-2016 2155.0322 - 215503 115.5 %
17-10-2016 2166.7642 - 216676 116.68 %
17-11-2016 2179.1949 - 217919 117.92 %
18-12-2016 2191.2453 - 219125 119.12 %
17-01-2017 2202.9256 - 220293 120.29 %
17-02-2017 2215.1713 - 221517 121.52 %
17-03-2017 2226.4608 - 222646 122.65 %
17-04-2017 2239.1994 - 223920 123.92 %
17-05-2017 2251.1207 - 225112 125.11 %
18-06-2017 2263.9502 - 226395 126.39 %
17-07-2017 2275.9168 - 227592 127.59 %
17-08-2017 2288.4483 - 228845 128.84 %
17-09-2017 2300.7063 - 230071 130.07 %
17-10-2017 2312.8207 - 231282 131.28 %
17-11-2017 2325.1776 - 232518 132.52 %
17-12-2017 2337.1958 - 233720 133.72 %
17-01-2018 2350.0731 - 235007 135.01 %
17-02-2018 2363.2331 - 236323 136.32 %
17-03-2018 2376.2446 - 237624 137.62 %
17-04-2018 2391.4293 - 239143 139.14 %
17-05-2018 2404.4156 - 240442 140.44 %
17-06-2018 2419.1381 - 241914 141.91 %
17-07-2018 2434.2004 - 243420 143.42 %
17-08-2018 2448.9454 - 244895 144.89 %
17-09-2018 2463.536 - 246354 146.35 %
17-10-2018 2478.5392 - 247854 147.85 %
17-11-2018 2494.4608 - 249446 149.45 %
17-12-2018 2509.8766 - 250988 150.99 %
17-01-2019 2525.4527 - 252545 152.54 %
17-02-2019 2540.4657 - 254047 154.05 %
17-03-2019 2554.1091 - 255411 155.41 %
17-04-2019 2570.105 - 257010 157.01 %
17-05-2019 2584.9049 - 258490 158.49 %
17-06-2019 2600.1268 - 260013 160.01 %
17-07-2019 2614.1548 - 261415 161.41 %
17-08-2019 2627.4332 - 262743 162.74 %
17-09-2019 2639.7192 - 263972 163.97 %
17-10-2019 2651.7818 - 265178 165.18 %
17-11-2019 2663.2896 - 266329 166.33 %
17-12-2019 2674.3825 - 267438 167.44 %
17-01-2020 2685.4341 - 268543 168.54 %
17-02-2020 2697.1671 - 269717 169.72 %
17-03-2020 2708.0555 - 270806 170.81 %
17-04-2020 2721.916 - 272192 172.19 %
17-05-2020 2733.0934 - 273309 173.31 %
17-06-2020 2741.768 - 274177 174.18 %
17-07-2020 2749.576 - 274958 174.96 %
17-08-2020 2756.8767 - 275688 175.69 %
17-09-2020 2763.9558 - 276396 176.4 %
17-10-2020 2771.6901 - 277169 177.17 %
17-11-2020 2779.0603 - 277906 177.91 %
17-12-2020 2785.4219 - 278542 178.54 %
17-01-2021 2792.2916 - 279229 179.23 %
17-02-2021 2800.1044 - 280010 180.01 %
17-03-2021 2806.277 - 280628 180.63 %
17-04-2021 2814.2447 - 281424 181.42 %
17-05-2021 2821.2911 - 282129 182.13 %
17-06-2021 2828.7868 - 282879 182.88 %
17-07-2021 2836.7041 - 283670 183.67 %
17-08-2021 2844.8851 - 284489 184.49 %
17-09-2021 2852.5344 - 285253 185.25 %
17-10-2021 2859.973 - 285997 186.0 %
17-11-2021 2868.0119 - 286801 186.8 %
17-12-2021 2875.7638 - 287576 187.58 %
17-01-2022 2884.3216 - 288432 188.43 %
17-02-2022 2892.7221 - 289272 189.27 %
17-03-2022 2900.5752 - 290058 190.06 %
17-04-2022 2909.6941 - 290969 190.97 %
17-05-2022 2917.3884 - 291739 191.74 %
17-06-2022 2928.3828 - 292838 192.84 %
17-07-2022 2940.3666 - 294037 194.04 %
17-08-2022 2952.4894 - 295249 195.25 %
18-09-2022 2966.0016 - 296600 196.6 %
17-10-2022 2978.9625 - 297896 197.9 %
17-11-2022 2994.9919 - 299499 199.5 %
18-12-2022 3011.126 - 301113 201.11 %
17-01-2023 3027.4552 - 302746 202.75 %
17-02-2023 3043.7717 - 304377 204.38 %
17-03-2023 3059.1672 - 305917 205.92 %
17-04-2023 3079.1737 - 307917 207.92 %
17-05-2023 3095.8112 - 309581 209.58 %
18-06-2023 3114.132 - 311413 211.41 %
17-07-2023 3130.8916 - 313089 213.09 %
17-08-2023 3148.0321 - 314803 214.8 %
17-09-2023 3166.1595 - 316616 216.62 %
17-10-2023 3183.9462 - 318395 218.39 %
17-11-2023 3202.27 - 320227 220.23 %
17-12-2023 3219.9732 - 321997 222.0 %
17-01-2024 3240.6973 - 324070 224.07 %
18-02-2024 3260.9174 - 326092 226.09 %
17-03-2024 3279.5697 - 327957 227.96 %
17-04-2024 3302.4281 - 330243 230.24 %
17-05-2024 3320.1924 - 332019 232.02 %
17-06-2024 3340.2071 - 334021 234.02 %
17-07-2024 3359.7251 - 335973 235.97 %
18-08-2024 3379.87 - 337987 237.99 %
17-09-2024 3398.9056 - 339891 239.89 %
17-10-2024 3419.4376 - 341944 241.94 %
17-11-2024 3439.4072 - 343941 243.94 %
17-12-2024 3458.3607 - 345836 245.84 %
22-12-2024 3461.3864 - 346139 246.14 %

RETURNS CALCULATOR for Invesco India Liquid Fund - 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 Invesco India Liquid Fund - Growth

Key Statistics Volatility Sharpe Ratio Alpha Beta Yield to Maturity Average Maturity
Invesco India Liquid Fund - Growth 0.48 0.3 2.09 0.97 7.07 0.14
Debt: Liquid - - - - - -

PEER COMPARISION of Invesco India Liquid Fund - 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 (%)
Invesco India Liquid Fund - Growth 17-11-2006 7.39 7.18 6.35 5.28 6.3
HSBC Liquid Fund - Growth 04-12-2002 9.35 9.1 7.37 5.53 5.97
BANK OF INDIA Liquid Fund- Regular Plan- Growth 16-07-2008 7.45 7.24 6.43 5.33 6.32
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
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
Aditya Birla Sun Life Liquid Fund-Retail (Growth) 16-06-1997 7.37 7.2 6.36 5.33 6.35

PORTFOLIO ANALYSIS of Invesco India Liquid Fund - Growth

Asset Allocation (%)

Allocation Percentage (%)

Market Cap Distribution

Others

100.0%

Total

100%