LIC MF Liquid Fund-Regular Plan-Growth

Category: Debt: Liquid
Launch Date: 13-03-2002
Asset Class: Fixed Income
Benchmark: CRISIL Liquid Debt A-I Index
Expense Ratio: 0.21% As on (30-11-2024)
Status: Open Ended Schemes
Minimum Investment: 5000.0
Minimum Topup: 500.0
Total Assets: 10,648.27 Cr As on (29-11-2024)
Turn over: -
NAV as on 22-12-2024

4555.2434

1.71 (0.0376%)

CAGR Since Inception

6.88%

CRISIL Liquid Debt A-I Index 5.46%

PERFORMANCE of LIC MF Liquid Fund-Regular Plan-Growth

Scheme Performance (%)

Data as on - 20-12-2024

Yearly Performance (%)

Fund Managers

Rahul Singh

Investment Objective

The scheme endevours to generate attractive return by investing predominantly in quality debt and money market securities. The scheme may also take a 20 per cent exposure to equity.

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

Show All Monthly Lumpsum Returns
NAV Date NAV Units Market
Value
Returns
(%)
13-03-2002 1000.0 100.0 100000 0.0 %
15-04-2002 1007.57 - 100757 0.76 %
13-05-2002 1013.6 - 101360 1.36 %
13-06-2002 1018.94 - 101894 1.89 %
15-07-2002 1023.98 - 102398 2.4 %
13-08-2002 1031.03 - 103103 3.1 %
13-09-2002 1036.18 - 103618 3.62 %
14-10-2002 1041.39 - 104139 4.14 %
13-11-2002 1047.08 - 104708 4.71 %
13-12-2002 1053.28 - 105328 5.33 %
13-01-2003 1058.99 - 105899 5.9 %
14-02-2003 1066.56 - 106656 6.66 %
13-03-2003 1070.99 - 107099 7.1 %
16-04-2003 1076.85 - 107685 7.69 %
13-05-2003 1082.27 - 108227 8.23 %
13-06-2003 1089.03 - 108903 8.9 %
14-07-2003 1094.69 - 109469 9.47 %
13-08-2003 1100.08 - 110008 10.01 %
13-09-2003 1105.64 - 110564 10.56 %
13-10-2003 1110.6299 - 111063 11.06 %
13-11-2003 1115.74 - 111574 11.57 %
15-12-2003 1120.78 - 112078 12.08 %
13-01-2004 1126.05 - 112605 12.61 %
13-02-2004 1130.76 - 113076 13.08 %
13-03-2004 1134.83 - 113483 13.48 %
13-04-2004 1139.46 - 113946 13.95 %
13-05-2004 1144.1499 - 114415 14.41 %
14-06-2004 1149.05 - 114905 14.9 %
13-07-2004 1153.07 - 115307 15.31 %
13-08-2004 1157.58 - 115758 15.76 %
13-09-2004 1162.18 - 116218 16.22 %
13-10-2004 1166.58 - 116658 16.66 %
15-11-2004 1171.79 - 117179 17.18 %
13-12-2004 1176.27 - 117627 17.63 %
13-01-2005 1181.29 - 118129 18.13 %
14-02-2005 1186.76 - 118676 18.68 %
13-03-2005 1191.37 - 119137 19.14 %
13-04-2005 1196.6799 - 119668 19.67 %
13-05-2005 1201.76 - 120176 20.18 %
13-06-2005 1207.44 - 120744 20.74 %
13-07-2005 1212.8999 - 121290 21.29 %
13-08-2005 1218.46 - 121846 21.85 %
13-09-2005 1224.33 - 122433 22.43 %
13-10-2005 1230.04 - 123004 23.0 %
13-11-2005 1236.12 - 123612 23.61 %
13-12-2005 1242.22 - 124222 24.22 %
13-01-2006 1248.7 - 124870 24.87 %
13-02-2006 1255.45 - 125545 25.55 %
13-03-2006 1261.82 - 126182 26.18 %
13-04-2006 1269.09 - 126909 26.91 %
15-05-2006 1276.34 - 127634 27.63 %
13-06-2006 1282.83 - 128283 28.28 %
13-07-2006 1289.85 - 128985 28.98 %
14-08-2006 1297.45 - 129745 29.74 %
13-09-2006 1304.72 - 130472 30.47 %
13-10-2006 1312.43 - 131243 31.24 %
13-11-2006 1320.75 - 132075 32.07 %
13-12-2006 1328.76 - 132876 32.88 %
15-01-2007 1338.87 - 133887 33.89 %
13-02-2007 1347.42 - 134742 34.74 %
13-03-2007 1355.04 - 135504 35.5 %
13-04-2007 1365.18 - 136518 36.52 %
14-05-2007 1375.21 - 137521 37.52 %
13-06-2007 1383.98 - 138398 38.4 %
13-07-2007 1391.86 - 139186 39.19 %
13-08-2007 1398.69 - 139869 39.87 %
13-09-2007 1407.5 - 140750 40.75 %
15-10-2007 1416.3 - 141630 41.63 %
14-11-2007 1425.5 - 142550 42.55 %
13-12-2007 1434.97 - 143497 43.5 %
14-01-2008 1445.38 - 144538 44.54 %
13-02-2008 1455.71 - 145571 45.57 %
13-03-2008 1465.25 - 146525 46.52 %
15-04-2008 1476.58 - 147658 47.66 %
14-05-2008 1486.24 - 148624 48.62 %
13-06-2008 1497.01 - 149701 49.7 %
14-07-2008 1508.37 - 150837 50.84 %
13-08-2008 1519.85 - 151985 51.99 %
15-09-2008 1532.76 - 153276 53.28 %
13-10-2008 1544.77 - 154477 54.48 %
14-11-2008 1558.52 - 155852 55.85 %
15-12-2008 1570.86 - 157086 57.09 %
13-01-2009 1582.13 - 158213 58.21 %
13-02-2009 1592.89 - 159289 59.29 %
13-03-2009 1601.76 - 160176 60.18 %
13-04-2009 1611.39 - 161139 61.14 %
13-05-2009 1618.6 - 161860 61.86 %
15-06-2009 1626.39 - 162639 62.64 %
13-07-2009 1632.86 - 163286 63.29 %
13-08-2009 1639.96 - 163996 64.0 %
14-09-2009 1646.85 - 164685 64.69 %
14-10-2009 1653.32 - 165332 65.33 %
13-11-2009 1659.7 - 165970 65.97 %
14-12-2009 1666.37 - 166637 66.64 %
13-01-2010 1672.52 - 167252 67.25 %
15-02-2010 1678.35 - 167835 67.84 %
15-03-2010 1683.49 - 168349 68.35 %
13-04-2010 1688.73 - 168873 68.87 %
13-05-2010 1694.66 - 169466 69.47 %
14-06-2010 1701.85 - 170185 70.19 %
13-07-2010 1709.24 - 170924 70.92 %
13-08-2010 1716.94 - 171694 71.69 %
13-09-2010 1724.69 - 172469 72.47 %
13-10-2010 1733.68 - 173368 73.37 %
15-11-2010 1744.48 - 174448 74.45 %
13-12-2010 1753.67 - 175367 75.37 %
13-01-2011 1763.98 - 176398 76.4 %
13-02-2011 1775.1 - 177510 77.51 %
13-03-2011 1786.01 - 178601 78.6 %
13-04-2011 1798.61 - 179861 79.86 %
13-05-2011 1810.68 - 181068 81.07 %
13-06-2011 1822.64 - 182264 82.26 %
13-07-2011 1834.31 - 183431 83.43 %
13-08-2011 1846.74 - 184674 84.67 %
13-09-2011 1859.62 - 185962 85.96 %
13-10-2011 1872.37 - 187237 87.24 %
13-11-2011 1885.93 - 188593 88.59 %
13-12-2011 1899.29 - 189929 89.93 %
13-01-2012 1913.67 - 191367 91.37 %
13-02-2012 1928.64 - 192864 92.86 %
13-03-2012 1942.8 - 194280 94.28 %
13-04-2012 1958.58 - 195858 95.86 %
13-05-2012 1973.97 - 197397 97.4 %
13-06-2012 1989.61 - 198961 98.96 %
13-07-2012 2004.42 - 200442 100.44 %
13-08-2012 2019.74 - 201974 101.97 %
13-09-2012 2034.69 - 203469 103.47 %
13-10-2012 2048.58 - 204858 104.86 %
13-11-2012 2062.59 - 206259 106.26 %
13-12-2012 2076.43 - 207643 107.64 %
13-01-2013 2091.0 - 209100 109.1 %
13-02-2013 2105.4503 - 210545 110.55 %
13-03-2013 2118.8959 - 211890 111.89 %
13-04-2013 2134.7157 - 213472 113.47 %
13-05-2013 2149.1682 - 214917 114.92 %
13-06-2013 2163.3633 - 216336 116.34 %
14-07-2013 2177.9938 - 217799 117.8 %
13-08-2013 2190.9019 - 219090 119.09 %
13-09-2013 2211.4091 - 221141 121.14 %
13-10-2013 2230.5002 - 223050 123.05 %
13-11-2013 2248.4895 - 224849 124.85 %
13-12-2013 2265.1086 - 226511 126.51 %
13-01-2014 2282.2626 - 228226 128.23 %
13-02-2014 2298.572 - 229857 129.86 %
13-03-2014 2314.4048 - 231440 131.44 %
14-04-2014 2333.4247 - 233342 133.34 %
13-05-2014 2349.9995 - 235000 135.0 %
13-06-2014 2367.1323 - 236713 136.71 %
13-07-2014 2383.7225 - 238372 138.37 %
13-08-2014 2400.6841 - 240068 140.07 %
14-09-2014 2418.5104 - 241851 141.85 %
13-10-2014 2435.1931 - 243519 143.52 %
13-11-2014 2453.0709 - 245307 145.31 %
14-12-2014 2470.5547 - 247055 147.06 %
13-01-2015 2487.5344 - 248753 148.75 %
13-02-2015 2505.2815 - 250528 150.53 %
13-03-2015 2521.6264 - 252163 152.16 %
13-04-2015 2540.8333 - 254083 154.08 %
13-05-2015 2558.4554 - 255846 155.85 %
14-06-2015 2577.07 - 257707 157.71 %
13-07-2015 2593.548 - 259355 159.35 %
13-08-2015 2610.8808 - 261088 161.09 %
13-09-2015 2627.6283 - 262763 162.76 %
13-10-2015 2644.2798 - 264428 164.43 %
13-11-2015 2661.1983 - 266120 166.12 %
13-12-2015 2677.3178 - 267732 167.73 %
13-01-2016 2694.3411 - 269434 169.43 %
14-02-2016 2712.0118 - 271201 171.2 %
13-03-2016 2728.0554 - 272806 172.81 %
13-04-2016 2749.0597 - 274906 174.91 %
13-05-2016 2766.7772 - 276678 176.68 %
13-06-2016 2784.813 - 278481 178.48 %
13-07-2016 2801.8997 - 280190 180.19 %
15-08-2016 2819.7606 - 281976 181.98 %
13-09-2016 2834.9565 - 283496 183.5 %
13-10-2016 2850.8791 - 285088 185.09 %
14-11-2016 2867.4495 - 286745 186.75 %
13-12-2016 2882.227 - 288223 188.22 %
13-01-2017 2898.2033 - 289820 189.82 %
13-02-2017 2914.1335 - 291413 191.41 %
13-03-2017 2928.4094 - 292841 192.84 %
13-04-2017 2945.1749 - 294517 194.52 %
14-05-2017 2961.1316 - 296113 196.11 %
13-06-2017 2976.7892 - 297679 197.68 %
13-07-2017 2992.8497 - 299285 199.28 %
13-08-2017 3009.2289 - 300923 200.92 %
13-09-2017 3025.1885 - 302519 202.52 %
13-10-2017 3041.0504 - 304105 204.1 %
13-11-2017 3057.2601 - 305726 205.73 %
13-12-2017 3072.8203 - 307282 207.28 %
13-01-2018 3089.6329 - 308963 208.96 %
13-02-2018 3106.6329 - 310663 210.66 %
13-03-2018 3122.6316 - 312263 212.26 %
13-04-2018 3143.4832 - 314348 214.35 %
13-05-2018 3160.6559 - 316066 216.07 %
13-06-2018 3179.6156 - 317962 217.96 %
13-07-2018 3199.2488 - 319925 219.93 %
13-08-2018 3218.5921 - 321859 221.86 %
13-09-2018 3237.5344 - 323753 223.75 %
13-10-2018 3255.9573 - 325596 225.6 %
13-11-2018 3276.3404 - 327634 227.63 %
13-12-2018 3296.5197 - 329652 229.65 %
13-01-2019 3316.6274 - 331663 231.66 %
13-02-2019 3336.4798 - 333648 233.65 %
13-03-2019 3354.0139 - 335401 235.4 %
13-04-2019 3375.6314 - 337563 237.56 %
13-05-2019 3394.5323 - 339453 239.45 %
13-06-2019 3414.7414 - 341474 241.47 %
13-07-2019 3432.923 - 343292 243.29 %
13-08-2019 3451.2726 - 345127 245.13 %
13-09-2019 3468.0484 - 346805 246.8 %
13-10-2019 3484.0011 - 348400 248.4 %
13-11-2019 3499.6572 - 349966 249.97 %
13-12-2019 3514.8284 - 351483 251.48 %
13-01-2020 3529.7354 - 352974 252.97 %
13-02-2020 3545.594 - 354559 254.56 %
13-03-2020 3560.5169 - 356052 256.05 %
13-04-2020 3582.3928 - 358239 258.24 %
13-05-2020 3597.3248 - 359732 259.73 %
13-06-2020 3610.0805 - 361008 261.01 %
13-07-2020 3621.2857 - 362129 262.13 %
13-08-2020 3631.1236 - 363112 263.11 %
13-09-2020 3640.421 - 364042 264.04 %
13-10-2020 3650.4357 - 365044 265.04 %
13-11-2020 3660.1801 - 366018 266.02 %
13-12-2020 3668.5429 - 366854 266.85 %
13-01-2021 3677.689 - 367769 267.77 %
13-02-2021 3687.6295 - 368763 268.76 %
13-03-2021 3696.4834 - 369648 269.65 %
13-04-2021 3706.9699 - 370697 270.7 %
13-05-2021 3716.3019 - 371630 271.63 %
13-06-2021 3726.4444 - 372644 272.64 %
13-07-2021 3736.3788 - 373638 273.64 %
13-08-2021 3746.9494 - 374695 274.69 %
13-09-2021 3757.3386 - 375734 275.73 %
13-10-2021 3766.7851 - 376679 276.68 %
13-11-2021 3777.0899 - 377709 277.71 %
13-12-2021 3787.2706 - 378727 278.73 %
13-01-2022 3798.3562 - 379836 279.84 %
13-02-2022 3809.2997 - 380930 280.93 %
13-03-2022 3819.1724 - 381917 281.92 %
13-04-2022 3830.805 - 383080 283.08 %
13-05-2022 3840.1342 - 384013 284.01 %
13-06-2022 3854.6503 - 385465 285.46 %
13-07-2022 3869.8194 - 386982 286.98 %
15-08-2022 3886.1463 - 388615 288.62 %
13-09-2022 3902.5216 - 390252 290.25 %
13-10-2022 3919.3375 - 391934 291.93 %
13-11-2022 3939.6792 - 393968 293.97 %
13-12-2022 3960.057 - 396006 296.01 %
13-01-2023 3982.3048 - 398230 298.23 %
13-02-2023 4003.6699 - 400367 300.37 %
13-03-2023 4024.089 - 402409 302.41 %
13-04-2023 4050.2657 - 405027 305.03 %
14-05-2023 4072.2969 - 407230 307.23 %
13-06-2023 4094.9098 - 409491 309.49 %
13-07-2023 4117.5586 - 411756 311.76 %
13-08-2023 4140.1949 - 414019 314.02 %
13-09-2023 4163.2618 - 416326 316.33 %
13-10-2023 4186.3345 - 418633 318.63 %
13-11-2023 4210.4385 - 421044 321.04 %
13-12-2023 4234.198 - 423420 323.42 %
14-01-2024 4262.1972 - 426220 326.22 %
13-02-2024 4286.4071 - 428641 328.64 %
13-03-2024 4312.1758 - 431218 331.22 %
13-04-2024 4342.7607 - 434276 334.28 %
13-05-2024 4366.0863 - 436609 336.61 %
13-06-2024 4392.9709 - 439297 339.3 %
13-07-2024 4418.7754 - 441878 341.88 %
13-08-2024 4444.3424 - 444434 344.43 %
13-09-2024 4470.0213 - 447002 347.0 %
13-10-2024 4497.215 - 449722 349.72 %
13-11-2024 4523.1458 - 452315 352.31 %
13-12-2024 4547.777 - 454778 354.78 %
22-12-2024 4555.2434 - 455524 355.52 %

RETURNS CALCULATOR for LIC MF 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 LIC MF Liquid Fund-Regular Plan-Growth

Key Statistics Volatility Sharpe Ratio Alpha Beta Yield to Maturity Average Maturity
LIC MF Liquid Fund-Regular Plan-Growth 0.48 0.23 2.05 0.97 7.02 0.01
Debt: Liquid - - - - - -

PEER COMPARISION of LIC MF 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 (%)
LIC MF Liquid Fund-Regular Plan-Growth 13-03-2002 7.4 7.17 6.32 5.3 6.29
HSBC Liquid Fund - Growth 04-12-2002 9.35 9.1 7.38 5.53 5.98
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 6.4 5.35 6.36
Invesco India Liquid Fund - Growth 17-11-2006 7.39 7.18 6.36 5.28 6.3
DSP Liquidity Fund - Regular Plan - Growth 20-11-2005 7.39 7.17 6.36 5.29 6.29
Canara Robeco Liquid Fund - Regular Plan - Growth Option 05-07-2008 7.38 7.2 6.38 5.21 6.2
Groww Liquid Fund (formerly known as Indiabulls Liquid Fund) - Regular Plan - Growth Option 25-10-2011 7.37 7.05 6.2 5.12 6.25
Mahindra Manulife Liquid Fund - Regular Plan - Growth 04-07-2016 7.37 7.2 6.39 5.35 0.0
ICICI Prudential Liquid Fund - Growth 01-11-2005 7.37 7.17 6.33 5.3 6.31

PORTFOLIO ANALYSIS of LIC MF Liquid Fund-Regular Plan-Growth

Asset Allocation (%)

Allocation Percentage (%)

Market Cap Distribution

Others

100.02%

Total

100%