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Navi Liquid Fund Direct Growth
INF959L01GF1 Navi Trustee Limited Debt Growth
Latest NAV
₹30.7357
+5.76% 1Y
as of 05 Oct 2026
Sign In to Add to Portfolio Benchmark: CRISIL Liquid Debt A-I Index
Expense ratio
0.26%
AUM
₹88 Cr
Min SIP
₹100
Min lump sum
₹100
1Y
+5.76%
3Y (ann.)
+6.41%
5Y (ann.)
+6.09%
Launched
Jan 2013
Where the NAV sits & how risky it is
₹30.74
52-week range at 100%
₹30.74
Low 06 Oct 2025₹29.06
High 04 Oct 2026₹30.73
Risk level Moderate
Low
Very high
NAV history
02 Jan 2013 Since inception 05 Oct 2026
Returns by period
1W
+0.10%
1M
+0.42%
3M
+1.36%
6M
+2.93%
1Y
+5.76%
3Y
+6.41%
5Y
+6.09%

3Y and 5Y returns are annualised.

Return calculator
You invest
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Est. gain
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Est. value
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Invested Gain
Invested Projected value min SIP ₹100

Estimate only. It assumes the selected past return repeats every year; 3Y and 5Y figures are taken as annualised. Actual returns vary and are not guaranteed.

Where your money goes

Sector allocation is published for schemes that buy shares directly. This is a debt scheme.

About this scheme

To provide a high level of liquidity with reasonable returns commensurate with low risk through a portfolio of money market and debt securities. There is no assurance that the investment objective of the scheme will be achieved.

Fund manager(s): Tanmay Sethi

Exit load: Exit load of 0.0070% if redeemed within 1 day, 0.0065% if redeemed within 2 days, 0.0060% if redeemed within 3 days, 0.0055% if redeemed within 4 days, 0.0050% if redeemed within 5 days, 0.0045% if redeemed within 6 days.

Scheme snapshot
VR Rating
MS Rating
Plan
Growth
Type
DIRECT
Inception
01 Jan 2013
Lump-sum min
₹100
SIP Purchase Switch STP SWP