Navi Liquid Fund - Direct Plan - Weekly IDCW - Payout
₹10.0078
- +0.02%
- −0.01%
- −60.19%
Scheme details
- Navi Mutual Fund
- Debt Scheme - Liquid Fund
- Direct Plan
- Weekly IDCW - Payout
- 119162
- INF959L01GI5
- INF959L01GJ3
- ₹10.0239
- ₹10.005
SIP projection
- ₹6,00,000
- ₹11,61,695
Other variants of this fund
| Scheme | Plan | NAV | 1y | 3y | 5y |
|---|---|---|---|---|---|
| Navi Liquid Fund | Direct · Daily IDCW - ReInvestment | ₹10.0129 | 0.00% | 0.00% | −60.19% |
| Navi Liquid Fund | Direct · Monthly IDCW - Payout | ₹10.0317 | +0.03% | −0.02% | −60.18% |
| Navi Liquid Fund | Direct · Unclaimed Redemption and Dividend Plan less than 3 years | ₹10.00 | 0.00% | 0.00% | −60.19% |
| Navi Liquid Fund | Regular · Daily IDCW | ₹10.1089 | +0.96% | +0.32% | −60.11% |
| Navi Liquid Fund | Regular · Growth | ₹30.6252 | +5.80% | +6.44% | −57.77% |
| Navi Liquid Fund | Regular · Growth Option | ₹30.3357 | +5.74% | +6.39% | −57.79% |
| Navi Liquid Fund | Regular · Monthly IDCW | ₹10.0315 | +0.03% | −0.02% | −60.18% |
| Navi Liquid Fund | Regular · Unclaimed Redemption and Dividend Plan less than 3 years | ₹30.5228 | +5.82% | +6.56% | −57.76% |
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