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Navi Liquid Fund

LiquidLow to ModerateOPEN-ENDED
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NAV as on 25 Sep 2026
₹30.390.00%1 day
Return since launch
6.9%
52-week range
₹28.75 — ₹30.39
AUM
₹73.81 Cr

Navi Liquid Fund is a Liquid debt fund from Navi Mutual Fund with ₹73.81 Cr under management, launched in 2010. Over three years it has returned 6.1% a year, against 6.8% for its category. The expense ratio is 0.32% and the SEBI riskometer reading is Low to Moderate.

Performance

Returns

How the fund has done against its category and its benchmark.

Trailing returns
PeriodFundvs categoryCategoryBenchmark
1Y5.7%−0.6 pts6.3%6.4%
2Y5.8%−0.5 pts6.4%6.3%
3Y6.1%−0.7 pts6.8%6.5%
5Y6.2%0.0 pts6.2%6.5%
7Y5.9%−0.3 pts6.1%6.1%
10Y5.7%−0.2 pts6.0%5.9%

Fund against category

1Y
Fund5.7%
Category6.3%
3Y
Fund6.1%
Category6.8%
5Y
Fund6.2%
Category6.2%

Since launch (17 Feb 2010): 6.9%

Calendar-year returns

Category average
Show as a table
Calendar-year returns
PeriodFundvs categoryCategory
20256.1%−0.4 pts6.4%
20246.9%−0.4 pts7.3%
20236.8%−0.2 pts7.0%
20225.1%+0.3 pts4.8%
20213.4%+0.1 pts3.3%
20203.7%−0.4 pts4.0%

Returns over one year are annualised. Shorter periods are absolute.

Costs & terms

Costs and terms

What the fund charges each year, and the rules around putting money in and taking it out.

Costs

0.32%

Expense ratio as on 23 Sep 2026

Charged yearly and already deducted from the NAV.

Base expense
0.27%
Brokerage
0.00%
Transaction charges
0.00%
Statutory levies
0.05%
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.
Lock-in
None

Terms

Min SIP
₹500
Min lumpsum
₹5,000
Plan
GROWTH
Fund type
OPEN-ENDED
Benchmark
CRISIL Liquid Debt A-I Index

Risk

Risk

What the riskometer means for this fund, and how its ratios sit against the category.

Low to Moderate

Your principal is treated as being at low to moderate risk — typically short duration debt schemes.

Risk ratios
RatioFundCategory avgRead as
Alpha——Return earned above what the benchmark alone would have given. Higher is better.
Beta——How hard the fund moves when the market moves. Under 1 is steadier than the market.
Sharpe2.814.97Return earned for each unit of total risk taken. Higher is better.
Sortino5.239.82Return earned for each unit of downside risk. Higher is better.
Std. deviation0.180.20How widely monthly returns have varied around their own average. Lower is steadier.
Average of 5 category peers

Portfolio

Navi Liquid Fund portfolio

Portfolio as of 31 Aug 2026

Asset allocation

  • Debt76.1%
  • Other23.9%

Top holdings

HoldingSectorWeightValue3M chg6M chg1Y chg
OthersOthers24.57%₹18.12 Cr+1.20%+1.12%+1.31%
Reserve Bank of IndiaFinancial13.41%₹9.90 Cr+6.32%—+7.17%
LIC Housing Finance Ltd.Financial6.77%₹5.00 Cr+6.38%—+7.23%
Small Industries Devp. Bank of India Ltd.Financial6.77%₹5.00 Cr——+7.23%
Cholamandalam Securities Ltd.Financial6.76%₹4.99 Cr———
HDFC Bank Ltd.Financial6.76%₹4.99 Cr+8.19%——
company:5652Financial6.76%₹4.99 Cr——+7.21%
company:12429Financial6.69%₹4.94 Cr———
company:5434Financial5.36%₹3.95 Cr—+5.90%—
Time Technoplast Ltd.Materials5.34%₹3.94 Cr+3.77%+5.87%+7.11%

Sectors

  • Financial70.1%
  • Others24.6%
  • Materials5.3%

Instruments

  • Cash/Net Current Assets23.9%
  • Commercial Paper22.9%
  • Treasury Bills20.2%
  • Certificate of Deposit18.9%
  • Debenture13.5%
  • Alternative Investment Fund0.7%

Recent changes

HoldingFromToWeight
Reserve Bank of India6.52%13.41%+6.89%
company:56520.00%6.76%+6.76%
company:124290.00%6.69%+6.69%
Power Finance Corporation Ltd.6.55%0.00%-6.55%
HDFC Securities Ltd.6.54%0.00%-6.54%
company:54340.00%5.36%+5.36%
Axis Bank Ltd.5.23%0.00%-5.23%
Kotak Mahindra Bank Ltd.5.21%0.00%-5.21%
Bank Of Baroda4.57%0.00%-4.57%
HDFC Bank Ltd.8.51%6.76%-1.75%
Time Technoplast Ltd.3.92%5.34%+1.42%
Cholamandalam Securities Ltd.6.49%6.76%+0.27%
LIC Housing Finance Ltd.6.54%6.77%+0.23%
Small Industries Devp. Bank of India Ltd.6.55%6.77%+0.22%
National Bank For Agriculture & Rural Development3.90%4.06%+0.16%
Others0.63%0.65%+0.02%

Compare

Similar funds

The rest of the category, so this fund’s numbers have something to sit against.

FundAUMExpense1Y3Y5Y
Category average₹22,488 Cr0.19%6.6%6.7%6.7%
Axis Liquid Fund₹63,343 Cr0.23%6.6%6.7%6.7%
DSP Liquid Fund₹27,920 Cr0.21%6.6%6.7%6.7%
Edelweiss Liquid Fund₹13,272 Cr0.17%6.6%6.7%6.7%
Franklin India Liquid Fund₹6,082 Cr0.20%6.7%6.7%6.7%
Bank of India Liquid Fund₹1,825 Cr0.15%6.6%6.7%6.7%

About

About this fund

The scheme’s own words, its benchmark and the people running it.

Investment objective

The Scheme seeks to generate a reasonable return commensurate with low risk and a high degree of liquidity, from a portfolio constituted of money market securities and debt securities.

Fund managers

  • Tanmay SethiMr. Sethi has done B.Com and CAPrior to joining Navi Mutual Fund, he has worked with HDFC Mutual Fund
Scheme information document

Tools

Return calculator

What ₹10,000 a month in this fund would have grown to over each period, based on its past returns.

₹
Over the pastTotal investmentWould’ve becomeGrowthReturns
6 months2.90% absolute₹60,000₹61,7402.90%
1 year5.68% annualised₹1,20,000₹1,23,7573.13%
3 years6.34% annualised₹3,60,000₹3,97,45710.40%
5 years6.03% annualised₹6,00,000₹7,01,74716.96%

Returns for 1 year and longer are annualised (CAGR); 6-month figures are absolute. Past returns are not a forecast.

How this is calculated

Each monthly instalment grows at the fund’s annualised return ÷ 12 per month until the end of the period, the same formula as our SIP calculator.

The amount compounds once a year at the fund’s CAGR for that period, the same formula as our lumpsum calculator.

Questions

Frequently asked questions

The things people ask about this scheme.

What is the NAV of Navi Liquid Fund?
The NAV of Navi Liquid Fund is ₹30.39 as on 25 Sep 2026.
What is the expense ratio of Navi Liquid Fund?
The expense ratio of Navi Liquid Fund is 0.32% per year.
What is the minimum SIP amount for Navi Liquid Fund?
You can start a SIP in Navi Liquid Fund with ₹500 a month.
What returns has Navi Liquid Fund given?
Navi Liquid Fund has returned 5.7% over 1 year, 6.1% over 3 years and 6.2% over 5 years (annualised).
Is there a lock-in or exit load on Navi Liquid Fund?
Lock-in: None. 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..
How risky is Navi Liquid Fund?
Navi Liquid Fund is rated Low to Moderate on the SEBI riskometer and belongs to the Liquid category.
Which fund house manages Navi Liquid Fund?
Navi Liquid Fund is managed by Navi Mutual Fund, which runs 17 schemes with ₹9,453 Cr under management.