3 Year Absolute Returns
-0.05% ↓
NAV (₹) on 19 Dec 2025
1004.41
1 Day NAV Change
0.02%
Risk Level
Low to Moderate Risk
Rating
-
Axis Liquid Fund - Direct Plan is a Cash mutual fund categorized under Liquid, offered by Axis Asset Management Company Ltd.. Launched on 01 Jan 2013, investors can start with a minimum SIP of ₹100 or ... Read more
AUM
₹ 37,357.87 Cr
| Sectors | Weightage |
|---|---|
| Commercial Paper | 55.37% |
| Certificate of Deposits | 20.13% |
| Others - Not Mentioned | 9.66% |
| Treasury Bill | 6.54% |
| Treps/Reverse Repo | 6.11% |
| Bills Rediscounting | 1.24% |
| Debt | 0.79% |
| Others | 0.23% |
| Name | Weightage | Value (in Cr.) | Sector |
|---|---|---|---|
| Clearing Corporation of India Ltd | 5.37% | ₹ 2,153.27 | Others |
| Canara Bank (25/08/2025) | 4.48% | ₹ 1,797.51 | Others |
| Indian Oil Corporation Limited (04/09/2025) | 4.29% | ₹ 1,719.89 | Others |
| 91 Days Tbill (MD 09/10/2025) | 3.71% | ₹ 1,488 | Others |
| Punjab National Bank (17/09/2025) | 3.35% | ₹ 1,343.36 | Others |
| 91 Days Tbill (MD 18/09/2025) | 3.18% | ₹ 1,274.98 | Others - Not Mentioned |
| 182 Days Tbill (MD 29/08/2025) | 3.12% | ₹ 1,251.24 | Others - Not Mentioned |
| Bharti Airtel Limited (04/09/2025) | 2.55% | ₹ 1,021.96 | Others |
| National Bank For Agriculture and Rural Development (17/09/2025) | 2.54% | ₹ 1,019.99 | Others |
| HDFC Bank Limited (20/10/2025) | 2.47% | ₹ 989.71 | Others |
| Bajaj Housing Finance Limited (07/11/2025) | 2.46% | ₹ 986.74 | Others |
| Bank of Baroda (18/09/2025) | 2.36% | ₹ 945.19 | Others |
| Sikka Ports and Terminals Limited (11/09/2025) | 2.23% | ₹ 896.35 | Others |
| Indian Bank (03/09/2025) | 1.62% | ₹ 648.20 | Others |
| 91 Days Tbill (MD 30/10/2025) | 1.60% | ₹ 642.79 | Others |
| HDFC Bank Limited (18/08/2025) | 1.43% | ₹ 574.83 | Others |
| ICICI Securities Limited (17/09/2025) | 1.36% | ₹ 547.06 | Others |
| LIC Housing Finance Limited (11/09/2025) | 1.30% | ₹ 522.87 | Others |
| Kotak Securities Limited (20/08/2025) | 1.25% | ₹ 499.67 | Others |
| Bajaj Housing Finance Limited (18/08/2025) | 1.25% | ₹ 499.85 | Others |
| Poonawalla Fincorp Limited (18/08/2025) | 1.25% | ₹ 499.84 | Others |
| Canara Bank (18/09/2025) | 1.24% | ₹ 497.48 | Others |
| Kotak Mahindra Bank Limited (09/09/2025) | 1.24% | ₹ 498.01 | Others |
| Indian Oil Corporation Limited (22/09/2025) | 1.24% | ₹ 497.12 | Others |
| Aditya Birla Capital Limited (22/09/2025) | 1.24% | ₹ 496.94 | Others |
| Tata Steel Limited (26/09/2025) | 1.24% | ₹ 496.75 | Others |
| ICICI Securities Limited (03/09/2025) | 1.24% | ₹ 498.49 | Others |
| Indian Oil Corporation Limited (19/09/2025) | 1.24% | ₹ 497.35 | Others |
| Titan Company Limited (19/09/2025) | 1.24% | ₹ 497.35 | Others |
| Small Industries Dev Bank of India (04/09/2025) | 1.24% | ₹ 498.53 | Others |
| 182 Days Tbill (MD 25/09/2025) | 1.24% | ₹ 497.05 | Others - Not Mentioned |
| Tata Steel Limited (17/10/2025) | 1.23% | ₹ 494.99 | Others |
| 91 Days Tbill (MD 23/10/2025) | 1.23% | ₹ 494.97 | Others |
| 182 Days Tbill (MD 16/10/2025) | 1.17% | ₹ 470.71 | Others - Not Mentioned |
| HDFC Securities Limited (11/09/2025) | 0.99% | ₹ 398.25 | Others |
| UltraTech Cement Limited (12/11/2025) | 0.98% | ₹ 394.45 | Others |
| Bharti Airtel Limited (23/09/2025) | 0.87% | ₹ 347.93 | Others |
| Indian Oil Corporation Limited (04/11/2025) | 0.80% | ₹ 320.87 | Others |
| 91 Days Tbill (MD 28/08/2025) | 0.79% | ₹ 316.44 | Others - Not Mentioned |
| Motilal Oswal Financial Services Limited (02/09/2025) | 0.75% | ₹ 299.12 | Others |
| ICICI Securities Limited (04/09/2025) | 0.75% | ₹ 299.05 | Others |
| Birla Group Holdings Private Limited (05/09/2025) | 0.75% | ₹ 298.98 | Others |
| Poonawalla Fincorp Limited (18/09/2025) | 0.74% | ₹ 298.33 | Others |
| Kotak Securities Limited (29/09/2025) | 0.74% | ₹ 297.79 | Others |
| Clearing Corporation of India Ltd | 0.74% | ₹ 297.98 | Others |
| The Federal Bank Limited (09/09/2025) | 0.62% | ₹ 249.07 | Others |
| Reliance Industries Limited (08/09/2025) | 0.62% | ₹ 249.11 | Others |
| Tata Steel Limited (09/09/2025) | 0.62% | ₹ 249.05 | Others |
| Reliance Jio Infocomm Limited (15/09/2025) | 0.62% | ₹ 248.83 | Others |
| Small Industries Dev Bank of India (26/08/2025) | 0.62% | ₹ 249.61 | Others |
| National Bank For Agriculture and Rural Development (03/09/2025) | 0.62% | ₹ 249.31 | Others |
| Export Import Bank of India (04/09/2025) | 0.62% | ₹ 249.27 | Others |
| National Bank For Agriculture and Rural Development (24/09/2025) | 0.62% | ₹ 248.51 | Others |
| Kotak Securities Limited (23/09/2025) | 0.62% | ₹ 248.41 | Others |
| Piramal Enterprises Limited (07/10/2025) | 0.62% | ₹ 247.53 | Others |
| Bank of Baroda (12/09/2025) | 0.62% | ₹ 248.96 | Others |
| HDFC Securities Limited (11/11/2025) | 0.61% | ₹ 246.27 | Others |
| HDFC Securities Limited (20/08/2025) | 0.50% | ₹ 199.87 | Others |
| Punjab National Bank (19/09/2025) | 0.50% | ₹ 198.95 | Others |
| Tata Projects Limited (08/09/2025) | 0.50% | ₹ 199.26 | Others |
| Network18 Media & Investments Limited (11/09/2025) | 0.50% | ₹ 199.18 | Others |
| Nuvama Wealth And Invest Ltd (25/09/2025) | 0.49% | ₹ 198.40 | Others |
| Godrej Properties Limited (24/10/2025) | 0.49% | ₹ 197.77 | Others |
| Godrej Properties Limited (27/10/2025) | 0.49% | ₹ 197.67 | Others |
| Tata Projects Limited (27/10/2025) | 0.49% | ₹ 197.63 | Others |
| Indian Oil Corporation Limited (03/11/2025) | 0.49% | ₹ 197.49 | Others |
| IIFL Finance Limited (23/10/2025) | 0.49% | ₹ 196.91 | Others |
| HSBC InvestDirect Financial Services (India) Limited (04/09/2025) | 0.47% | ₹ 189.39 | Others |
| Bajaj Financial Securities Limited (20/08/2025) | 0.44% | ₹ 174.88 | Others |
| TATA Realty & Infrastructure Limited (10/09/2025) | 0.40% | ₹ 159.35 | Others |
| HDFC Bank Limited (10/09/2025) | 0.37% | ₹ 149.42 | Others |
| 360 One WAM Limited (08/09/2025) | 0.37% | ₹ 149.37 | Others |
| Tata Consumer Products Limited (16/09/2025) | 0.37% | ₹ 149.28 | Others |
| Kotak Securities Limited (10/09/2025) | 0.37% | ₹ 149.37 | Others |
| HDB Financial Services Limited (04/09/2025) | 0.37% | ₹ 149.53 | Others |
| Godrej Finance Limited (09/09/2025) | 0.37% | ₹ 149.39 | Others |
| Bank of Baroda (13/10/2025) | 0.31% | ₹ 123.86 | Others |
| 5.776% LIC Housing Finance Limited (11/09/2025) | 0.31% | ₹ 124.97 | Others |
| Nuvama Wealth And Invest Ltd (16/10/2025) | 0.31% | ₹ 123.44 | Others |
| 6.5% Power Finance Corporation Limited (17/09/2025) | 0.27% | ₹ 110.03 | Others |
| Kotak Securities Limited (11/11/2025) | 0.25% | ₹ 98.51 | Others |
| HDFC Bank Limited (10/10/2025) | 0.25% | ₹ 99.13 | Others |
| Sikka Ports and Terminals Limited (03/09/2025) | 0.25% | ₹ 99.72 | Others |
| Small Industries Dev Bank of India (09/10/2025) | 0.25% | ₹ 99.14 | Others |
| Nu Vista Limited (10/10/2025) | 0.25% | ₹ 99.07 | Others |
| Godrej Properties Limited (16/10/2025) | 0.25% | ₹ 99.01 | Others |
| Nu Vista Limited (16/10/2025) | 0.25% | ₹ 98.97 | Others |
| 360 One Prime Limited (27/10/2025) | 0.25% | ₹ 98.65 | Others |
| Godrej Properties Limited (11/09/2025) | 0.25% | ₹ 99.59 | Others |
| SBI - Corporate Debt Market Development Fund (CDMDF) - Class A2 | 0.23% | ₹ 92.31 | Others |
| Mankind Pharma Limited (17/10/2025) | 0.21% | ₹ 84.12 | Others |
| Piramal Finance Limited (27/08/2025) | 0.19% | ₹ 74.85 | Others |
| Godrej Industries Limited (04/09/2025) | 0.19% | ₹ 74.77 | Others |
| Godrej Industries Limited (08/09/2025) | 0.19% | ₹ 74.73 | Others |
| Godrej Industries Limited (09/09/2025) | 0.19% | ₹ 74.71 | Others |
| Godrej Industries Limited (10/09/2025) | 0.19% | ₹ 74.70 | Others |
| Godrej Industries Limited (12/11/2025) | 0.18% | ₹ 73.93 | Others |
| Godrej Industries Limited (11/11/2025) | 0.18% | ₹ 73.94 | Others |
| HDFC Bank Limited (15/09/2025) | 0.12% | ₹ 49.77 | Others |
| HDFC Bank Limited (19/09/2025) | 0.12% | ₹ 49.74 | Others |
| Nuvama Wealth And Invest Ltd (23/10/2025) | 0.12% | ₹ 49.30 | Others |
| 364 Days Tbill (MD 21/08/2025) | 0.12% | ₹ 49.96 | Others - Not Mentioned |
| 7.37% Kotak Mahindra Prime Limited (16/09/2025) | 0.09% | ₹ 37.53 | Others |
| 7.38% LIC Housing Finance Limited (18/08/2025) | 0.06% | ₹ 25 | Others |
| 7.5% HDB Financial Services Limited (23/09/2025) | 0.06% | ₹ 25.01 | Others |
| Piramal Finance Limited (26/08/2025) | 0.06% | ₹ 24.95 | Others |
| Mahindra Rural Housing Finance Limited (17/10/2025) | 0.06% | ₹ 24.75 | Others |
| 91 Days Tbill (MD 21/08/2025) | 0.04% | ₹ 14.99 | Others - Not Mentioned |
| Canara Bank (02/09/2025) | 0.02% | ₹ 9.97 | Others |
| Annualised returns | ||||
|---|---|---|---|---|
| 9M | 1Y | 2Y | 3Y | |
| Fund returns | -0.03% | -0.07% | -0.01% | -0.02% |
| Category returns | 3.66% | 4.91% | 10.24% | 15.36% |
To provide a high level of liquidity with reasonable returns commensurating with low risk through a portfolio of money market and debt securities.
|
Scheme Name
|
NAV
|
Returns
1Y
3Y
5Y
|
AUM (Cr)
|
Expense Ratio
|
Risk Meter
|
||
|---|---|---|---|---|---|---|---|
|
Parag Parikh Liquid Fund
Liquid
Regular
|
₹1,006.72 | -0.05% | 0.03% | 0.26% | ₹5,075 | 0.20% |
Low to Moderate
|
|
Parag Parikh Liquid Fund
Liquid
Regular
|
₹1,006.72 | -0.05% | 0.03% | 0.26% | ₹5,075 | 0.20% |
Low to Moderate
|
|
Baroda BNP Paribas Liquid Fund - Direct Plan
Liquid
Direct
|
₹1,220.07 | 0.10% | 0.03% | 0.10% | ₹10,643 | 0.14% |
Low to Moderate
|
|
ITI Liquid Fund - Direct Plan
Liquid
Direct
|
₹1,001.24 | 0.02% | 0.02% | -0.01% | ₹54 | 0.09% |
Low to Moderate
|
|
DSP Liquidity Fund
Liquid
Regular
|
₹1,001.15 | 0.02% | 0.02% | 0.01% | ₹21,344 | 0.19% |
Low to Moderate
|
|
DSP Liquidity Fund - Direct Plan
Liquid
Direct
|
₹1,001.15 | 0.02% | 0.02% | 0.01% | ₹21,344 | 0.10% |
Low to Moderate
|
|
Aditya Birla Sun Life Liquid Fund - Retail Plan
Liquid
Regular
|
₹292.90 | 6.96% | 23.48% | 33.37% | ₹55,408 | 0.23% |
Moderate
|
|
Canara Robeco Liquid Fund - Unclaimed Redemption and...
Liquid
Regular
|
₹1,772.11 | 6.72% | 22.98% | 33.19% | ₹6,250 | 0.10% |
Low to Moderate
|
|
Aditya Birla Sun Life Liquid Fund - Direct Plan
Liquid
Direct
|
₹437.56 | 6.68% | 22.91% | 33.17% | ₹55,408 | 0.21% |
Moderate
|
|
Edelweiss Liquid Fund - Direct Plan
Liquid
Direct
|
₹3,501.69 | 6.66% | 22.85% | 33.21% | ₹10,214 | 0.10% |
Low to Moderate
|
|
Scheme Name
|
NAV
|
Returns
1Y
3Y
5Y
|
AUM (Cr)
|
Expense Ratio
|
Risk Meter
|
||
|---|---|---|---|---|---|---|---|
|
Axis Equity Savings Fund
Hybrid
Regular
|
₹22.72 | 5.04% | 33.10% | 52.79% | ₹931 | 2.28% |
Moderately High
|
|
Axis Retirement Fund - Conservative Plan
Hybrid
Regular
|
₹16.24 | 4.16% | 32.39% | 43.67% | ₹54 | 2.15% |
High
|
|
Axis Retirement Fund - Conservative Plan
Hybrid
Regular
|
₹16.24 | 4.16% | 32.39% | 43.67% | ₹54 | 2.15% |
High
|
|
Axis Midcap Fund - Direct Plan
Diversified
Direct
|
₹55.87 | -7.88% | 30.60% | 54.55% | ₹32,202 | 0.55% |
Very High
|
|
Axis Midcap Fund - Direct Plan
Diversified
Direct
|
₹55.87 | -7.88% | 30.60% | 54.55% | ₹32,202 | 0.55% |
Very High
|
|
Axis Flexi Cap Fund - Direct Plan
Diversified
Direct
|
₹19.20 | -4.86% | 30.43% | 36.46% | ₹13,276 | 0.71% |
Very High
|
|
Axis Flexi Cap Fund - Direct Plan
Diversified
Direct
|
₹19.20 | -4.86% | 30.43% | 36.46% | ₹13,276 | 0.71% |
Very High
|
|
Axis Conservative Hybrid Fund - Direct Plan
Hybrid
Direct
|
₹35.90 | 7.60% | 28.55% | 47.88% | ₹236 | 1.05% |
Moderately High
|
|
Axis Credit Risk Fund - Direct Plan
Income
Direct
|
₹24.90 | 9.41% | 28.47% | 44.44% | ₹366 | 0.80% |
High
|
|
Axis Strategic Bond Fund - Direct Plan
Income
Direct
|
₹31.79 | 8.86% | 28.43% | 42.59% | ₹1,941 | 0.71% |
Moderately High
|
What is the current NAV of Axis Liquid Fund - Direct Plan IDCW-Monthly?
The current Net Asset Value (NAV) of Axis Liquid Fund - Direct Plan IDCW-Monthly is ₹1,004.41 as of 19 Dec 2025. NAV represents the per-unit market value of the fund and is updated daily based on the closing prices of the underlying securities.
What is the fund size (AUM) of Axis Liquid Fund - Direct Plan IDCW-Monthly?
The Assets Under Management (AUM) of Axis Liquid Fund - Direct Plan IDCW-Monthly is ₹37,357.87 Crores. AUM indicates the total market value of assets managed by the fund and reflects investor confidence and fund popularity.
What are the historical returns of Axis Liquid Fund - Direct Plan IDCW-Monthly?
Axis Liquid Fund - Direct Plan IDCW-Monthly has delivered returns of -0.07% (1 Year), -0.02% (3 Year), 0.04% (5 Year). Past performance does not guarantee future results, and investors should consider their risk appetite before investing.
What is the risk level of Axis Liquid Fund - Direct Plan IDCW-Monthly?
Axis Liquid Fund - Direct Plan IDCW-Monthly has a risk rating of 'Low to Moderate' as per the SEBI Riskometer. This indicates the fund is suitable for investors comfortable with modest fluctuations. Investors should align their investment choices with their personal risk tolerance and financial goals.
What is the minimum investment amount for Axis Liquid Fund - Direct Plan IDCW-Monthly?
The minimum lumpsum investment required for Axis Liquid Fund - Direct Plan IDCW-Monthly is ₹100. The fund also offers SIP (Systematic Investment Plan) option starting from as low as ₹100, making it accessible for regular investments. This allows investors to start their mutual fund journey with a manageable amount.
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