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Net Change on 06-11-2025
PersonalFN Rating
Category
Assets (Cr.)
Expense Ratio
Fund House
Launch Date
Benchmark
Minimum Investment (₹)
Minimum Addl Investment (₹)
Exit Load (%)
Minimum SIP Investment (₹)
Minimum STP Investment (₹)
Minimum SWP Investment (₹)
52 Week Low Nav (₹)
52 Week Low Nav Date
52 Week High Nav (₹)
52 Week High Nav Date
Returns upto 1 year is Annualised, and above 1 year are Compounded Annualised
182 Days Tbill (MD 01/01/2026)
91 Days Tbill (MD 08/01/2026)
TRP_031125
91 Days Tbill (MD 13/11/2025)
ICICI Bank Limited (14/11/2025) ** #
Muthoot Finance Limited (18/11/2025) **
Kotak Mahindra Bank Limited (26/11/2025) ** #
Canara Bank (04/12/2025) ** #
Aditya Birla Capital Limited (02/12/2025) **
Punjab National Bank (05/12/2025) ** #
Union Bank of India (18/12/2025) #
Larsen & Toubro Limited (26/12/2025) **
Export Import Bank of India (30/12/2025) #
Indian Bank (08/01/2026) ** #
The Federal Bank Limited (13/01/2026) ** #
Mahindra & Mahindra Financial Services Limited (22/01/2026) **
Indian Bank (03/11/2025) ** #
HDFC Bank Limited (04/11/2025) ** #
Axis Bank Limited (13/11/2025) ** #
Bank of India (28/11/2025) ** #
Bank of Baroda (02/12/2025) ** #
HDFC Bank Limited (04/12/2025) #
The Federal Bank Limited (12/12/2025) ** #
Canara Bank (18/12/2025) #
Bank of Baroda (05/01/2026) ** #
Axis Bank Limited (08/01/2026) #
Bajaj Finance Limited (13/01/2026) **
Bajaj Finance Limited (16/01/2026) **
Net Receivables / (Payables)
Corporate Debt Market Development Fund
Miscellaneous
31/10/2025
26/09/2025
29/08/2025
25/07/2025
27/06/2025
30/05/2025
25/04/2025
28/03/2025
28/02/2025
31/01/2025
27/12/2024
29/11/2024
25/10/2024
27/09/2024
30/08/2024
26/07/2024
28/06/2024
31/05/2024
26/04/2024
01/04/2024
23/02/2024
29/01/2024
29/12/2023
24/11/2023
27/10/2023
29/09/2023
25/08/2023
28/07/2023
30/06/2023
26/05/2023
28/04/2023
31/03/2023
24/02/2023
27/01/2023
30/12/2022
25/11/2022
28/10/2022
30/09/2022
26/08/2022
29/07/2022
24/06/2022
27/05/2022
29/04/2022
25/03/2022
25/02/2022
28/01/2022
31/12/2021
26/11/2021
29/10/2021
24/09/2021
27/08/2021
30/07/2021
25/06/2021
28/05/2021
30/04/2021
26/03/2021
26/02/2021
29/01/2021
28/12/2020
27/11/2020
02/11/2020
25/09/2020
28/08/2020
31/07/2020
26/06/2020
29/05/2020
24/04/2020
27/03/2020
28/02/2020
31/01/2020
27/12/2019
29/11/2019
25/10/2019
27/09/2019
30/08/2019
26/07/2019
28/06/2019
31/05/2019
26/04/2019
29/03/2019
28/02/2019
CARE A1+
Cash
CRISIL A1+
FITCH A1+
ICRA A1+
SOVEREIGN
Unrated
Motilal Oswal Liquid Fund is a Debt - Liquid Fund fund and belongs to Motilal Oswal Mutual Fund. It was launched on 17-Jan-2019 and currently has an AUM of ₹1,210.87 crore. Motilal Oswal Liquid Fund is benchmarked against CRISIL Liquid Debt Index as primary index.
The NAV of Motilal Oswal Liquid Fund ended up ₹0(0.01%)yesterday to ₹10.0392.
Among its top 3 holdings the fund has exposure to 182 Days Tbill (MD 01/01/2026), and
The Motilal Oswal Liquid Fund is managed by Rakesh Shetty .
10th Floor, Motilal Oswal Tower, Rahimtullah Sayani Road, Opp Parel ST Bus Depot, Prabhadevi Mumbai - 400025