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Navi Liquid Fund - Growth - Direct Plan
Debt - Ultra Short Duration Fund
NAV as 21-Sep-2026 ₹ 30.67
Returns (p.a.) 5.76%
Returns (day) 0.02%
Min. Investment
SIP ₹500 & Lumpsum ₹500
Riskometer Low to Moderate
Expense Ratio
0.26%
as on 31-Aug-2026
Age
13 Years 8 Months 20 Days
AUM (Fund size)
₹ 7380.55 Crs
Lock-In
No Lock-In Period
Exit Load
0.007% for Day 1, 0.0065% on Day 2, 0.0060% on Day 3, 0.0055% on Day 4, 0.0050% on Day 5, 0.0045% on Day 6, NIL on or after 7D
Benchmark
CRISIL Liquid Debt Index
This Fund
NIFTY50
NAV chart timeframe changed to 6M.
| Date | This Fund NAV | NIFTY50 Value |
|---|---|---|
| 02-Sep-2026 | 30.5929 | 23914.45 |
| 03-Sep-2026 | 30.6015 | 23873.45 |
| 04-Sep-2026 | 30.6041 | 23897.7 |
| 07-Sep-2026 | 30.6142 | 23779.15 |
| 08-Sep-2026 | 30.6188 | 23635.1 |
| 09-Sep-2026 | 30.6252 | 23431.5 |
| 10-Sep-2026 | 30.6297 | 23477.8 |
| 11-Sep-2026 | 30.6309 | 23398.1 |
| 15-Sep-2026 | 30.646 | 23118.6 |
| 16-Sep-2026 | 30.6481 | 23217.6 |
| Instrument | Price/NAV | Percentage | Interval |
|---|---|---|---|
| Mutual Fund | ₹30.67 | 5.76% | 6 Months |
| Index | 23217.60 | 0.00% | -- |
Historical Returns
1 Week
4.14%
1 Month
5.13%
6 Months
5.90%
1 Year
5.76%
3 Years
0.00%
5 Years
6.07%
Max
6.72%

