Previous Nav
Net Change on 02-12-2023
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
91 DAY T-BILL 17.11.23
National Bank for Agriculture and Rural Development
Small Industries Development Bank of India
182 DAY T-BILL 14.12.23
91 DAY T-BILL 09.11.23
Bank of Baroda
Indian Bank
Punjab National Bank
Bajaj Finance Ltd.
Reliance Retail Ventures Ltd.
Bank of Maharashtra
182 DAY T-BILL 21.12.23
Reliance Industries Ltd.
HDFC Bank Ltd.
91 DAY T-BILL 14.12.23
182 DAY T-BILL 29.12.23
91 DAY T-BILL 23.11.23
8.83% CGL 2023
ICICI Bank Ltd.
Export-Import Bank of India
Punjab & Sind Bank
Aditya Birla Finance Ltd.
91 DAY T-BILL 04.01.24
HDB Financial Services Ltd.
Kotak Securities Ltd.
ICICI Securities Ltd.
Sikka Ports & Terminals Ltd.
HDFC Securities Ltd.
Mahindra & Mahindra Financial Services Ltd.
Tata Motors Ltd.
Canara Bank
The Federal Bank Ltd.
Larsen & Toubro Ltd.
Tata Motors Finance Solutions Ltd.
IDFC First Bank Ltd.
SMFG India Credit Company Ltd.
7.68% CGL 2023
Tata Steel Ltd.
Tata Capital Housing Finance Ltd.
Poonawalla Fincorp Ltd.
Tata Power Company Ltd.
364 DAY T-BILL 04.01.24
91 DAY T-BILL 30.11.23
182 DAY T-BILL 07.12.23
364 DAY T-BILL 21.12.23
91 DAY T-BILL 29.12.23
91 DAY T-BILL 11.01.24
Bajaj Financial Securties Ltd.
Corporate Debt Market Development Fund-A2
Sundaram Finance Ltd.
TREPS
364 DAY T-BILL 30.11.23
Net Receivable / Payable
Miscellaneous
21/03/2020
07/03/2020
22/02/2020
08/02/2020
25/01/2020
11/01/2020
28/12/2019
14/12/2019
30/11/2019
16/11/2019
02/11/2019
19/10/2019
05/10/2019
21/09/2019
07/09/2019
24/08/2019
10/08/2019
27/07/2019
13/07/2019
29/06/2019
15/06/2019
01/06/2019
18/05/2019
04/05/2019
20/04/2019
06/04/2019
23/03/2019
09/03/2019
23/02/2019
09/02/2019
26/01/2019
12/01/2019
29/12/2018
15/12/2018
01/12/2018
17/11/2018
03/11/2018
20/10/2018
06/10/2018
22/09/2018
08/09/2018
25/08/2018
11/08/2018
28/07/2018
14/07/2018
30/06/2018
16/06/2018
02/06/2018
19/05/2018
05/05/2018
21/04/2018
07/04/2018
24/03/2018
10/03/2018
24/02/2018
10/02/2018
27/01/2018
13/01/2018
30/12/2017
16/12/2017
02/12/2017
18/11/2017
04/11/2017
21/10/2017
07/10/2017
23/09/2017
09/09/2017
26/08/2017
12/08/2017
29/07/2017
15/07/2017
17/06/2017
03/06/2017
20/05/2017
06/05/2017
22/04/2017
08/04/2017
25/03/2017
11/03/2017
25/02/2017
11/02/2017
28/01/2017
14/01/2017
31/12/2016
17/12/2016
03/12/2016
19/11/2016
05/11/2016
22/10/2016
08/10/2016
24/09/2016
10/09/2016
27/08/2016
13/08/2016
30/07/2016
16/07/2016
02/07/2016
18/06/2016
04/06/2016
21/05/2016
07/05/2016
23/04/2016
09/04/2016
26/03/2016
12/03/2016
27/02/2016
13/02/2016
30/01/2016
16/01/2016
02/01/2016
19/12/2015
05/12/2015
21/11/2015
07/11/2015
24/10/2015
10/10/2015
26/09/2015
12/09/2015
29/08/2015
15/08/2015
01/08/2015
18/07/2015
04/07/2015
20/06/2015
06/06/2015
23/05/2015
09/05/2015
25/04/2015
11/04/2015
28/03/2015
14/03/2015
28/02/2015
14/02/2015
31/01/2015
17/01/2015
03/01/2015
20/12/2014
06/12/2014
22/11/2014
08/11/2014
25/10/2014
11/10/2014
27/09/2014
13/09/2014
30/08/2014
16/08/2014
02/08/2014
19/07/2014
05/07/2014
21/06/2014
07/06/2014
24/05/2014
10/05/2014
26/04/2014
12/04/2014
29/03/2014
15/03/2014
01/03/2014
15/02/2014
01/02/2014
18/01/2014
04/01/2014
21/12/2013
07/12/2013
23/11/2013
09/11/2013
26/10/2013
12/10/2013
28/09/2013
14/09/2013
31/08/2013
17/08/2013
20/07/2013
06/07/2013
22/06/2013
08/06/2013
25/05/2013
11/05/2013
27/04/2013
13/04/2013
30/03/2013
16/03/2013
02/03/2013
16/02/2013
02/02/2013
19/01/2013
05/01/2013
22/12/2012
08/12/2012
24/11/2012
10/11/2012
27/10/2012
13/10/2012
29/09/2012
15/09/2012
01/09/2012
18/08/2012
04/08/2012
21/07/2012
07/07/2012
23/06/2012
09/06/2012
26/05/2012
12/05/2012
28/04/2012
14/04/2012
17/03/2012
03/03/2012
18/02/2012
04/02/2012
21/01/2012
07/01/2012
24/12/2011
10/12/2011
26/11/2011
12/11/2011
29/10/2011
15/10/2011
01/10/2011
17/09/2011
03/09/2011
20/08/2011
06/08/2011
23/07/2011
09/07/2011
25/06/2011
11/06/2011
28/05/2011
14/05/2011
30/04/2011
16/04/2011
19/03/2011
05/03/2011
19/02/2011
05/02/2011
22/01/2011
08/01/2011
25/12/2010
11/12/2010
27/11/2010
13/11/2010
30/10/2010
16/10/2010
02/10/2010
18/09/2010
04/09/2010
21/08/2010
07/08/2010
24/07/2010
10/07/2010
26/06/2010
12/06/2010
29/05/2010
15/05/2010
01/05/2010
17/04/2010
03/04/2010
20/03/2010
06/03/2010
20/02/2010
06/02/2010
23/01/2010
09/01/2010
26/12/2009
12/12/2009
28/11/2009
14/11/2009
31/10/2009
17/10/2009
03/10/2009
19/09/2009
05/09/2009
22/08/2009
08/08/2009
25/07/2009
11/07/2009
27/06/2009
13/06/2009
30/05/2009
16/05/2009
02/05/2009
18/04/2009
04/04/2009
21/03/2009
07/03/2009
21/02/2009
07/02/2009
24/01/2009
10/01/2009
27/12/2008
13/12/2008
29/11/2008
18/10/2008
04/10/2008
06/09/2008
23/08/2008
12/07/2008
28/06/2008
14/06/2008
03/05/2008
19/04/2008
05/04/2008
22/03/2008
08/03/2008
23/02/2008
09/02/2008
26/01/2008
12/01/2008
29/12/2007
15/12/2007
01/12/2007
17/11/2007
03/11/2007
20/10/2007
06/10/2007
22/09/2007
08/09/2007
25/08/2007
11/08/2007
28/07/2007
07/07/2007
30/06/2007
16/06/2007
02/06/2007
19/05/2007
05/05/2007
21/04/2007
07/04/2007
24/03/2007
10/03/2007
24/02/2007
10/02/2007
27/01/2007
13/01/2007
30/12/2006
16/12/2006
02/12/2006
18/11/2006
04/11/2006
21/10/2006
07/10/2006
23/09/2006
09/09/2006
26/08/2006
12/08/2006
29/07/2006
15/07/2006
01/07/2006
17/06/2006
03/06/2006
20/05/2006
06/05/2006
22/04/2006
08/04/2006
25/03/2006
11/03/2006
25/02/2006
11/02/2006
28/01/2006
14/01/2006
31/12/2005
17/12/2005
03/12/2005
19/11/2005
05/11/2005
22/10/2005
08/10/2005
24/09/2005
10/09/2005
27/08/2005
02/04/2005
[ICRA]A1+
Cash
CRISIL A1+
IND A1+
Sovereign
Unrated
SBI Liquid Fund is a Debt - Liquid Fund fund and belongs to SBI Mutual Fund. It was launched on 18-Mar-2005 and currently has an AUM of ₹62,037.95 crore. SBI 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 SBI Liquid Fund ended up ₹0.23(0.02%)yesterday to ₹1213.612.
Among its top 3 holdings the fund has exposure to 91 DAY T-BILL 17.11.23, and
The SBI Liquid Fund is managed by R. Arun .
191, Maker Tower 'E' Cuffe Parade Mumbai - 400 005