(Erstwhile Reliance Liquid Fund - Treasury Plan) Table of Contents The investment objective of the scheme is to generate optimal returns consistent with moderate levels of risk and high liquidity. Accordingly, investments shall predominantly be made in Debt and Money Market Instruments. Nippon India Liquid Fund is a Debt - Liquid Fund fund launched on 9 Dec 03. It is a fund with Low risk and has given a Below is the key information for Nippon India Liquid Fund Returns up to 1 year are on Historical performance (Yearly) on absolute basis Nippon India Liquid Fund - G
Scheme Objective
CAGR
return of 6.9% since its launch. Ranked 11 in Liquid Fund
category. Return for 2024 was 7.3% , 2023 was 7% and 2022 was 4.8% . NAV as on 12 Mar 25 ₹6,239.58 ↑ 1.14 (0.02 %) Net Assets (AUM) as on 31 Jan 2025 ₹31,095 Cr. Launch Date 9 Dec 2003 Category Debt - Liquid Fund Rating ☆☆☆☆ Type Open Ended Fund Risk Low Yield To Maturity 7.3% Effective Maturity 1 Month 9 Days Modified Duration 1 Month 6 Days Alpha Ratio 0.0 Expense Ratio 0.33 % Sharpe Ratio 3.286 Information Ratio 0.0 Benchmark Not Available ISIN INF204K01UN9 AMC Nippon Life Asset Management Ltd. Min Investment ₹100 Min SIP Investment ₹100 Exit Load NIL NAV Price Chart
Returns
Annual Compounded Returns
absolute basis
& more than 1 year are on CAGR (Compound Annual Growth Rate)
basis. as on 12 Mar 25 Duration Returns 1 Month 0.5% 3 Month 1.7% 6 Month 3.5% 1 Year 7.2% 3 Year 6.6% 5 Year 5.4% 10 Year 15 Year Since launch 6.9% Historical Annual Returns
Year Returns 2023 7.3% 2022 7% 2021 4.8% 2020 3.2% 2019 4.3% 2018 6.7% 2017 7.4% 2016 6.7% 2015 7.7% Growth of 10k Over Years
Date Value 29 Feb 20 ₹10,000 28 Feb 21 ₹10,389 28 Feb 22 ₹10,733 28 Feb 23 ₹11,294 29 Feb 24 ₹12,103 28 Feb 25 ₹12,981 Asset Allocation
Asset Class Value Cash 99.79% Other 0.21% Sector Allocation
Sector Value Cash Equivalent 75.31% Corporate 22.69% Government 1.79% Rating Value AA 0.08% AAA 99.92% Top Securities Holdings / Portfolio
Holdings/Securities
Name Global Industry Holding Value Quantity Reverse Repo
CBLO/Reverse Repo | -5% ₹1,933 Cr 91 DTB 20032025
Sovereign Bonds | -3% ₹1,169 Cr 117,500,000
↑ 500,000 91 DTB 13032025
Sovereign Bonds | -2% ₹702 Cr 70,479,300
↓ -13,000,000 Small Industries Development Bank Of India
Commercial Paper | -2% ₹648 Cr 13,000
↓ -2,000 HDFC Bank Limited
Certificate of Deposit | -2% ₹624 Cr 12,500
↓ -2,000 91 Days Tbill
Sovereign Bonds | -2% ₹623 Cr 63,216,000
↑ 63,216,000 Biocon Ltd
Commercial Paper | -2% ₹560 Cr 11,400 Union Bank Of India
Certificate of Deposit | -2% ₹548 Cr 11,000
↓ -4,000 HDFC Bank Limited
Certificate of Deposit | -1% ₹523 Cr 10,500 Bank Of Baroda
Certificate of Deposit | -1% ₹498 Cr 10,000
Talk to our investment specialistFund Managers
Name Since Tenure Siddharth Deb 1 Mar 22 3 Yr. Kinjal Desai 25 May 18 6.77 Yr. Vikash Agarwal 14 Sep 24 0.46 Yr. Custodians
Company Address Deutsche Bank AG Deutsche Bank AG,Kodak House, 22, D.N. Road, Registrar & Transfer Agent
KFin Technologies Ltd Address 138 -Suyesh Solitaire, Nr. Podar International School,Kudasan, Gandhinagar, Gujarat FAX N.A Email N.A Administrator Companies
Company Address Nippon India Mutual Fund 9th Floor, Crescenzo, C-38 & 39,,G Block, Bandra Kurla Complex, Bandra (East), Mumbai 400051 Auditors
Company Address Haribhakti & Co. Chartered Accountants 42, Free Press House,4th Floor,,215, Nariman Point, All Plan & Options
Fund and Plan NAV 6 Month 1 Year 3 Year 5 Year Nippon India Liquid Fund
Growth ₹6,239.58
↑ 1.14 3.46 % 7.21 % 6.58 % 5.36 % Nippon India Liquid Fund
Weekly Dividend, Reinvestment ₹1,531.64
↑ 0.28 3.46 % 7.22 % 6.59 % 5.34 % Nippon India Liquid Fund
Quarterly Dividend, Payout ₹1,018.38
↑ 0.19 3.46 % 7.21 % 6.58 % 5.28 % Nippon India Liquid Fund
Quarterly Dividend, Reinvestment ₹1,018.38
↑ 0.19 3.46 % 7.21 % 6.58 % 5.28 % Nippon India Liquid Fund
Monthly Dividend, Payout ₹1,587.85
↑ 0.29 1.68 % 5.37 % 5.97 % 4.99 % Nippon India Liquid Fund
Monthly Dividend, Reinvestment ₹1,587.85
↑ 0.29 1.68 % 5.37 % 5.97 % 4.99 % Nippon India Liquid Fund
Daily Dividend, Reinvestment ₹1,528.74 3.31 % 8.08 % 6.86 % 5.44 % Data as on 12 Mar 25