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Mutual Funds

ITI Liquid Fund

ITI Liquid Fund icon

ITI Liquid Fund

LiquidRank #34
2/5

NAV (2026-08-28)

1455.85

AUM

₹2,023 Cr

Exp. Ratio: 0.24%

RISK LEVEL

Low To Moderate

Returns & Performance

1 Year6.04%0.11% vs cat avgRank #32
3 Year6.57%0.04% vs cat avgRank #31
5 Year5.94%0.03% vs cat avgRank #31
Since Launch5.24%1.65% vs cat avg

Fund vs Category Average

1Y
6.04%+0.11%
3Y
6.57%+0.04%
5Y
5.94%-0.03%

Pros & Cons

Pros

Outperforms category avg on 1Y returns
Strong 3Y track record vs category
No lock-in period
Low expense ratio (0.24%)

Cons

5Y returns below category average
1Y category rank outside top 15 (#32)
Overall rank #34 in category
Returns since launch below category avg
ISININF00XX01192
NAV₹1455.85
NAV Date2026-08-28
AUM₹2,023 Cr
Expense Ratio0.24%
RiskLow To Moderate
Rating2 / 5
Min SIP Amount₹500
Max SIP Amount₹999999999
Min Additional Inv.₹1000
SIP AllowedYes
Plan TypeRegular
Plan OptionGrowth
Is NFONo
Fund House Incorp.2018-05-14

INVESTMENT OBJECTIVE

The scheme seeks to provide reasonable returns, commensurate with low risk while providing a high level of liquidity, through a portfolio of money market and debt securities.

Exit Load0.00%
Stamp duty on investment0.005% (from July 1st, 2020)
Tax implicationsReturns are taxed as per your income tax slab.

Laukik Bagwe

Mr. Bagwe is a B.Com (H) and PGDBA (Finance)

Prior to joining ITI Mutual fund he has worked with DSP Mutual Fund, Derivium Capital and Securities Pvt. Ltd. and with Birla Sun Life Securities Ltd.

Top Holdings

CompanySectorAsset Value (Cr)Asset %
Kotak Mahindra Bank Ltd. 03/01/2025Financial₹9.5019.32
Larsen & Toubro Ltd. 7.33 09/12/2024Construction₹9.0017.46
HDFC Bank Ltd. 06/12/2024Financial₹9.4412.55
ICICI Bank Ltd. 31/01/2025Financial₹5.9612.14
Kotak Mahindra Bank Ltd. 31/08/2026Financial₹4.9710.37
Indian Bank 13/03/2025Financial₹4.9910.35
Canara Bank 14/09/2026Financial₹4.9610.35
Bank Of Baroda 05/05/2025Financial₹4.9310.24
Canara Bank 03/06/2026Financial₹5.0010.24
HDFC Bank Ltd. 10/06/2026Financial₹4.9910.23

Frequently Asked Questions

Common questions about this fund, answered from scheme data

The latest Net Asset Value (NAV) of ITI Liquid Fund is ₹1,455.85 as of 2026-08-28.

The FAQs above are generated from data provided by the AMC and are for educational purposes only. They do not constitute financial advice, buy/sell recommendations, or return guarantees. Mutual fund investments are subject to market risks — read all scheme-related documents carefully before investing. Past performance is not indicative of future returns.