Fund Overview IDCW | Direct Plan

  • 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

Fund Objective

ITI Liquid Fund is an open ended liquid scheme that seeks to provide reasonable returns, commensurate with low risk while providing a high level of liquidity, through a portfolio of moneymarket and debt securities.

Fund Performance

Scheme Name 1-Month Return (%) 3-Month Return (%) 1-Year Return (%) 3-Year Return (%) 5-Year Return (%) Since Inception
Crisil 1 Yr T-Bill Index N/A N/A N/A N/A N/A N/A
CRISIL Liquid Debt Index N/A N/A N/A N/A N/A N/A

Returns upto 1 year is Annualised, and above 1 year are Compounded Annualised

Peer Fund Comparison

Scheme Name Launch Date Ratings 1-Year Return (%) 3-Year Return (%) 5-Year Return (%) Expense Ratio (%) Assets (Cr.)
HDFC Liquid Fund - IDCW Daily - Direct Plan Dec 31, 2012 Unrated 7.39 6.33 5.21 0.20 72,653.31
HDFC Liquid Fund - IDCW Monthly - Direct Plan Dec 31, 2012 Unrated 7.41 6.35 5.25 0.20 72,653.31
HDFC Liquid Fund - IDCW Weekly - Direct Plan Dec 31, 2012 Unrated 7.41 6.35 5.23 0.20 72,653.31
SBI Liquid Fund - Direct Paln - Fortnightly Income Distribution cum Capital Withdrawal Option (IDCW) Sep 10, 2013 Unrated 7.40 6.35 5.26 0.19 64,117.02
SBI Liquid Fund - Direct Plan - Daily Income Distribution cum Capital Withdrawal Option (IDCW) Dec 31, 2012 Unrated 7.38 6.34 5.24 0.19 64,117.02

Fund Holdings as on 30-November-2024

  • Kotak Mahindra Bank Limited (03/01/2025)

  • 7.33% Larsen & Toubro Limited (09/12/2024)

  • Small Industries Dev Bank of India (11/12/2024)

  • ICICI Bank Limited (31/01/2025)

  • Punjab National Bank (05/12/2024)

  • Canara Bank (06/12/2024)

  • State Bank of India (27/12/2024)

  • TREPS 02-Dec-2024

  • 364 Days Tbill (MD 30/01/2025)

  • Net Receivables / (Payables)

  • Corporate Debt Market Development Fund Class A2

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  • Miscellaneous

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Fund Manager

Most Recent Dividend

  • 03/12/2024

  • 26/11/2024

  • 19/11/2024

  • 12/11/2024

  • 05/11/2024

  • 29/10/2024

  • 22/10/2024

  • 15/10/2024

  • 08/10/2024

  • 01/10/2024

  • 24/09/2024

  • 17/09/2024

  • 10/09/2024

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  • 27/08/2024

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  • 30/07/2024

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  • 09/07/2024

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  • 25/06/2024

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  • 11/06/2024

  • 04/06/2024

  • 28/05/2024

  • 22/05/2024

  • 14/05/2024

  • 07/05/2024

  • 30/04/2024

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  • 16/04/2024

  • 09/04/2024

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  • 27/03/2024

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  • 12/03/2024

  • 05/03/2024

  • 27/02/2024

  • 21/02/2024

  • 13/02/2024

  • 06/02/2024

  • 30/01/2024

  • 24/01/2024

  • 16/01/2024

  • 09/01/2024

  • 02/01/2024

  • 27/12/2023

  • 19/12/2023

  • 12/12/2023

  • 05/12/2023

  • 29/11/2023

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  • 14/11/2023

  • 07/11/2023

  • 31/10/2023

  • 24/10/2023

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  • 26/09/2023

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  • 29/08/2023

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  • 25/07/2023

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  • 30/05/2023

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  • 28/02/2023

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  • 07/02/2023

  • 31/01/2023

  • 24/01/2023

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  • 10/01/2023

  • 03/01/2023

  • 27/12/2022

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  • 06/12/2022

  • 29/11/2022

  • 22/11/2022

  • 15/11/2022

  • 08/11/2022

  • 01/11/2022

  • 26/10/2022

  • 18/10/2022

  • 11/10/2022

  • 04/10/2022

  • 27/09/2022

  • 20/09/2022

  • 13/09/2022

  • 06/09/2022

  • 30/08/2022

  • 23/08/2022

  • 18/08/2022

  • 09/08/2022

  • 02/08/2022

  • 26/07/2022

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  • 12/07/2022

  • 05/07/2022

  • 28/06/2022

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  • 31/05/2022

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  • 26/04/2022

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  • 29/03/2022

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  • 28/12/2021

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  • 30/11/2021

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  • 26/10/2021

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  • 28/09/2021

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  • 31/08/2021

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  • 27/07/2021

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  • 29/06/2021

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  • 25/05/2021

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  • 13/04/2021

  • 06/04/2021

  • 31/03/2021

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  • 09/03/2021

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  • 09/02/2021

  • 02/02/2021

  • 26/01/2021

  • 19/01/2021

  • 12/01/2021

  • 05/01/2021

  • 29/12/2020

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  • 08/12/2020

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  • 24/11/2020

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  • 27/10/2020

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  • 29/09/2020

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  • 25/08/2020

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  • 28/07/2020

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  • 30/06/2020

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  • 27/05/2020

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  • 28/04/2020

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  • 31/03/2020

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  • 25/02/2020

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  • 28/01/2020

  • 21/01/2020

  • 14/01/2020

  • 07/01/2020

  • 31/12/2019

  • CARE A1+

  • Cash

  • CRISIL A1+

  • CRISIL AAA

  • ICRA A1+

  • Sovereign

  • Unrated

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About ITI Liquid Fund

Scheme Analysis

ITI Liquid Fund is a Debt - Liquid Fund fund and belongs to ITI Mutual Fund. It was launched on 17-Dec-2019 and currently has an AUM of ₹51.54 crore. ITI Liquid Fund is benchmarked against Crisil 1 Yr T-Bill Index as primary index and CRISIL Liquid Debt Index as secondary index.

The NAV of ITI Liquid Fund ended up ₹0.19(0.02%)yesterday to ₹1001.3727.

Among its top 3 holdings the fund has exposure to Kotak Mahindra Bank Limited (03/01/2025), and

The ITI Liquid Fund is managed by Rajesh Bhatia .

Fund House Contact

ITI House, 36, R K Shirodkar Marg, Parel Mumbai - 400 012

022-69153500
mfassist@itiorg.com
www.itiamc.com