Mirae Asset Liquid Fund - Direct Plan

MIRAEASSET | ISIN: INF769K01CM1

NAV: Rs 3005.9590 (+0.01%) as of 2026-09-28

Category: Debt - Liquid | Plan: Direct

Returns

PeriodReturn
1 Year6.42%
2 Year6.66%
3 Year6.93%
4 Year6.94%
5 Year6.37%

Fund Details

AUMRs 20702 Cr
Expense Ratio0.08%
Fund ManagerMs. Pranavi Kulkarni
Launch Date2013-01-01
Min InvestmentRs 5000
Min Additional InvestmentRs 1000
Exit Load0.007
Dividend TypeG
Settlement TypeT1