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Nippon India Liquid Fund - Growth - Direct Plan

Debt - Ultra Short Duration Fund

NAV as 05-Jun-2026 6830.5767

Returns (p.a.) 6.28%

Returns (day) 0.03%

Min. Investment

SIP ₹500 & Lumpsum ₹500

Riskometer Moderate

Riskometer rating: Moderate

Expense Ratio

0.2%

as on 30-Apr-2026

Age

13 Years 5 Months 6 Days

AUM (Fund size)

3175231.52 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

Nifty Liquid Fund Index

This Fund
NIFTY50
NAV chart timeframe changed to 6M.
NAV performance values for the selected 6M period
DateThis Fund NAVNIFTY50 Value
21-May-20266810.481423654.7
22-May-20266811.488723719.3
25-May-20266814.78624031.7
26-May-20266815.641623913.7
27-May-20266816.928723907.15
29-May-20266820.819523547.75
01-Jun-20266824.863623382.6
02-Jun-20266825.782423483.55
04-Jun-20266828.463923416.55
05-Jun-20266830.576723366.7
Mutual fund and index NAV comparison
InstrumentPrice/NAVPercentageInterval
Mutual Fund6830.586.28%6 Months
Index23366.700.00%--

Historical Returns

1 Week

7.46%

1 Month

6.18%

6 Months

6.45%

1 Year

6.28%

3 Years

0.00%

5 Years

6.17%

Max

6.87%