Navi Liquid Fund-idcw Weekly

  • 3 Months
  • 6 Months
  • 1 Year
  • 3 Years
  • 5 Years
  • RSI
3 Months Returns : 1.35%
Fund NAV

Fund Overview of Navi Liquid Fund-idcw Weekly

  • ₹79.0 Cr
    AUM
  • ₹10.01
    NAV
  • 0.20%
    Expense Ratio
  • Debt
    Fund Category
As on Wed Nov 19, 2025

Returns of Navi Liquid Fund-idcw Weekly

Tenure Absolute(%) Annualised(%) Category Average(%)
3 Months 1.35% NA 1.50%
6 Months 2.87% NA 3.29%
1 Year 6.37% 6.37% 6.97%
2 Years 13.72% 6.64% 7.17%
3 Years 21.34% 6.66% 7.01%
5 Years 30.83% 5.52% 5.63%
7 Years 45.56% 5.51% NA
10 Years 79.95% 6.05% 6.23%
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As on Wed Nov 19, 2025

Dividend of Navi Liquid Fund-idcw Weekly : 0.10%

Dividends are declared by the fund house based on the income generated from the underlying assets. While many mutual funds distribute dividends annually, the payout frequency ultimately depends on the fund house’s decision

Asset Allocation

debt instruments

84.36%

other assets or cash equivalents

15.64%
Top Holdings
Cash/net Current Assets
19.02%
Cash/net Current Assets
15.64%
Cash/net Current Assets
15.64%
Maharashtra State 8.26 12/08/2025
12.67%
Government Of India 35923 91 Days Tbill 01ag25 Fv Rs 100
12.66%
 
Top Sectors
Financial
275.45%
Unspecified
88.88%
Materials
23.12%
Entities
10.41%
Industrials
3.14%
Detailed Portfolio Analysis
As on Wed Nov 19, 2025
Invest Now

About Fund

About Navi Liquid Fund-idcw Weekly

Navi Liquid Fund-idcw Weekly is one Debt mutual fund offered by Navi Mutual Fund. Launched on 19 Feb 2010, the fund aims Income over short term. Investment in debt and money market instruments. It manages assets worth ₹79.0 crore as on Thu Jul 31, 2025. The expense ratio stands at 0.2%.
The portfolio allocation consists of 84.36% in debt instruments, 15.64% in other assets or cash equivalents. Managed by Tanmay Sethi, it has delivered a return of 6.37% in the last year, a total return since inception of 7.00%.

The latest dividend was declared on 17 Nov 2025 at 0.10% of face value. Read more
  • Tanmay Sethi

    Fund Manager

  • Mr. Sethi has done B.Com and CA

    Manager Education

Key Metrics of Navi Liquid Fund-idcw Weekly

  • Standard Deviation
    0.15%
  • Sharpe Ratio
    0.96%
  • Alpha
    0.63%
  • Beta
    0.26%

Fund Details

Fund Names Navi Liquid Fund-idcw Weekly
Inception Date 19 Feb 2010
Lock In No Lock-in
SIP Minimum Investment amount ₹ 100
SWP Minimum Investment amount ₹ 100
STP Minimum Investment amount ₹ 100
 
Risk Principal at moderate risk
Category Average Annual Returns 6.97
More Details

Top Performing Mutual Funds

Fund Names AUM (Cr) 1M 3M 1Yr 3Yr 5Yr
Quant Liquid Direct Fund-growth trend ₹1,540 0.49% 1.44% 6.70% 6.97% 5.99%
Quant Liquid Direct Fund-growth trend ₹1,540 0.49% 1.44% 6.70% 6.97% 5.99%
Aditya Birla Sun Life Liquid Fund Direct-growth trend ₹51,913 0.50% 1.48% 6.77% 7.14% 5.84%
UTI Liquid Direct-flexi Idcw trend ₹29,013 0.50% 1.47% 6.73% 7.08% 5.81%
UTI Liquid Direct-flexi Idcw trend ₹29,013 0.50% 1.47% 6.73% 7.08% 5.81%
Canara Robeco Liquid Regular Plan-growth trend ₹6,577 0.49% 1.44% 6.66% 7.01% 5.72%
UTI Liquid Regular Plan-flexi Idcw trend ₹29,013 0.49% 1.44% 6.64% 6.99% 5.71%
UTI Liquid Regular Plan-flexi Idcw trend ₹29,013 0.49% 1.44% 6.64% 6.99% 5.71%
Quant Liquid Fund-growth trend ₹1,540 0.47% 1.37% 6.41% 6.69% 5.70%
Quant Liquid Fund-growth trend ₹1,540 0.47% 1.37% 6.41% 6.69% 5.70%
View More
increase growth is based on 1-month returns of the funds & Top fund are based on 3Y Returns

More funds from Navi Mutual Fund

Fund Names AUM (Cr) 1M 3M 6M 1Yr 3Yr
Navi Liquid Fund-growth increase ₹79 0.46% 1.37% 2.84% 6.22% 6.63%
Navi Liquid Fund Direct-growth increase ₹79 0.47% 1.38% 2.87% 6.28% 6.68%
Navi Liquid Fund-idcw Daily increase ₹79 0.46% 1.37% 2.84% 6.22% 6.63%
Navi Liquid Fund Direct-idcw Daily increase ₹79 0.47% 1.38% 2.87% 6.28% 6.68%
Navi Liquid Fund-idcw Monthly increase ₹79 0.46% 1.37% 2.84% 6.22% 6.63%
Navi Liquid Fund Direct-idcw Monthly increase ₹79 0.47% 1.38% 2.87% 6.28% 6.68%
Navi Liquid Fund Direct-idcw Weekly increase ₹79 0.47% 1.38% 2.87% 6.28% 6.68%
View More
increase growth is based on 1-month returns of the funds

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Top Mutual Funds

Fund Names AUM (Cr) NAV 3Yr 5Yr 10Yr
Aditya Birla Sun Life Liquid Fund Direct-growth trend ₹51,913 ₹435.53 7.14% 5.84% 6.29%
UTI Liquid Regular Plan-flexi Idcw trend ₹29,013 ₹1,591.52 6.99% 5.71% 6.16%
UTI Liquid Direct-flexi Idcw trend ₹29,013 ₹1,601.22 7.08% 5.81% 6.24%
UTI Liquid Direct-flexi Idcw trend ₹29,013 ₹1,601.22 7.08% 5.81% 6.24%
UTI Liquid Regular Plan-flexi Idcw trend ₹29,013 ₹1,591.52 6.99% 5.71% 6.16%
Canara Robeco Liquid Regular Plan-growth trend ₹6,577 ₹3,213.07 7.01% 5.72% 6.05%
Quant Liquid Fund-growth trend ₹1,540 ₹42.17 6.69% 5.70% 6.28%
Quant Liquid Direct Fund-growth trend ₹1,540 ₹43.33 6.97% 5.99% 6.52%
Quant Liquid Direct Fund-growth trend ₹1,540 ₹43.33 6.97% 5.99% 6.52%
Quant Liquid Fund-growth trend ₹1,540 ₹42.17 6.69% 5.70% 6.28%
View More
Top funds are based on Fund AUM

Detailed Portfolio

Stocks Sector % of Holding Value
Cash/net Current AssetsUnspecified19.02%₹11.80 Cr
Cash/net Current AssetsUnspecified15.64%₹10.33 Cr
Cash/net Current AssetsUnspecified15.64%₹10.33 Cr
Maharashtra State 8.26 12/08/2025Unspecified12.67%₹10.01 Cr
Government Of India 35923 91 Days Tbill 01ag25 Fv Rs 100Financial12.66%₹10.00 Cr
Government Of India 35151 364 Days Tbill 13nv25 Fv Rs 100Financial15.12%₹9.98 Cr
Government Of India 35151 364 Days Tbill 13nv25 Fv Rs 100Financial15.12%₹9.98 Cr
Government Of India 35151 364 Days Tbill 13nv25 Fv Rs 100Financial16.02%₹9.94 Cr
Cash/net Current AssetsUnspecified12.26%₹9.69 Cr
Kerala State 7.99 28/10/2025Unspecified8.07%₹5.01 Cr
Kerala State 7.99 28/10/2025Unspecified-
Sundaram Finance Limited Sr X4 7.89 Ncd 22sp25 Fvrs1lacFinancial6.34%₹5.01 Cr
Small Industries Development Bank Of India Sr Vi 7.75 Ncd 27ot25 Fvrs10lacFinancial8.07%₹5.01 Cr
Rec Limited Sr 229-a 7.79 Bd 29nv25 Fvrs1lacFinancial7.58%₹5.01 Cr
Rec Limited Sr 229-a 7.79 Bd 29nv25 Fvrs1lacFinancial7.58%₹5.01 Cr
Lic Housing Finance Ltd Debenture 8.25 23/10/2025Financial8.07%₹5.00 Cr
Power Finance Corporation Ltd. Sr 208 6.50 Bd 17sp25 Fvrs10lacFinancial6.33%₹5.00 Cr
Hdb Financial Services Limited Sr A/1(fx)181 Opt 2 7.7 Ncd 11ag25 Fvrs10lacFinancial6.33%₹5.00 Cr
Lic Housing Finance Limited Tranche-264 8.58 Loa 01ag25 Fvrs10lacFinancial6.33%₹5.00 Cr
Government Of India 36192 091 Days Tbill 09ot25 Fv Rs 100Financial8.05%₹4.99 Cr
Time Technoplast Limited 91d Cp 07nov25Materials7.56%₹4.99 Cr
Time Technoplast Limited 91d Cp 07nov25Materials7.56%₹4.99 Cr
Axis Finance Limited 91d Cp 13aug25Financial6.32%₹4.99 Cr
Icici Bank Limited Cd 14nov25Financial7.56%₹4.99 Cr
Icici Bank Limited Cd 14nov25Financial7.56%₹4.99 Cr
Bajaj Financial Securities Limited 91d Cp 13nov25Financial7.56%₹4.99 Cr
Bajaj Financial Securities Limited 91d Cp 13nov25Financial7.56%₹4.99 Cr
Canara Bank Cd 03sep25Financial6.30%₹4.97 Cr
Axis Bank Limited Cd 04sep25Financial6.30%₹4.97 Cr
Icici Securities Limited 91d Cp 04sep25Financial6.29%₹4.97 Cr
National Bank For Agriculture And Rural Development 155d Cp 10dec25Financial7.52%₹4.97 Cr
National Bank For Agriculture And Rural Development 155d Cp 10dec25Financial7.52%₹4.97 Cr
Icici Bank Limited Cd 14nov25Financial8.00%₹4.97 Cr
Power Finance Corporation Limited 266d Cp 15dec25Financial7.52%₹4.96 Cr
Power Finance Corporation Limited 266d Cp 15dec25Financial7.52%₹4.96 Cr
Bank Of Baroda Cd 18sep25Financial6.28%₹4.96 Cr
Time Technoplast Limited 91d Cp 07nov25Materials8.00%₹4.96 Cr
Bajaj Financial Securities Limited 91d Cp 13nov25Financial8.00%₹4.96 Cr
National Bank For Agriculture And Rural Development 155d Cp 10dec25Financial7.97%₹4.94 Cr
Kotak Mahindra Bank Limited Cd 15jan26Financial7.48%₹4.94 Cr
Kotak Mahindra Bank Limited Cd 15jan26Financial7.48%₹4.94 Cr
Shriram Finance Limited Sr Ppd Xv 23-24 Op1 Tr 5 9.25 Ncd 19dc25 Fvrs1lacFinancial6.07%₹4.01 Cr
Shriram Finance Limited Sr Ppd Xv 23-24 Op1 Tr 5 9.25 Ncd 19dc25 Fvrs1lacFinancial6.07%₹4.01 Cr
Goi Sec 7.59 11/01/2026Entities5.20%₹3.44 Cr
Goi Sec 7.59 11/01/2026Entities5.20%₹3.44 Cr
Canara Bank Cd 26dec25Financial4.50%₹2.97 Cr
Canara Bank Cd 26dec25Financial4.50%₹2.97 Cr
Gujarat State Sdl 8.23 09/09/2025Industrials3.14%₹2.48 Cr
Tamilnadu State 8.24 09/09/2025Unspecified1.88%₹1.49 Cr
Others Class A2 AifUnspecified0.69%₹0.46 Cr
Others Class A2 AifUnspecified0.69%₹0.46 Cr
Others Class A2 AifUnspecified0.74%₹0.46 Cr
Others Class A2 AifUnspecified0.57%₹0.45 Cr
View More

Top Debt Funds

Fund Names NAV 3Yr 5Yr 52 weeks high
Quant Liquid Direct Fund-growth increase ₹43.33 6.97% 5.99% -
Quant Liquid Direct Fund-growth increase ₹43.33 6.97% 5.99% -
Aditya Birla Sun Life Liquid Fund Direct-growth increase ₹435.53 7.14% 5.84% -
UTI Liquid Direct-flexi Idcw increase ₹1,601.22 7.08% 5.81% -
UTI Liquid Direct-flexi Idcw increase ₹1,601.22 7.08% 5.81% -
Canara Robeco Liquid Regular Plan-growth increase ₹3,213.07 7.01% 5.72% -
UTI Liquid Regular Plan-flexi Idcw increase ₹1,591.52 6.99% 5.71% -
UTI Liquid Regular Plan-flexi Idcw increase ₹1,591.52 6.99% 5.71% -
Quant Liquid Fund-growth increase ₹42.17 6.69% 5.70% -
Quant Liquid Fund-growth increase ₹42.17 6.69% 5.70% -
View More
increase growth is based on 5Y returns of the funds

Frequently Asked Questions

Navi Liquid Fund-idcw Weekly

What is the current AUM of Navi Liquid Fund-idcw Weekly?

As of Thu Jul 31, 2025, Navi Liquid Fund-idcw Weekly manages assets worth ₹79.0 crore

How has Navi Liquid Fund-idcw Weekly performed recently?

  • 3 Months: 1.35%
  • 6 Months: 2.87%

What is the long-term performance of Navi Liquid Fund-idcw Weekly?

  • 3 Years CAGR: 6.66%
  • 5 Years CAGR: 5.52%
  • Since Inception: 7.00%

What is the portfolio composition of Navi Liquid Fund-idcw Weekly?

Debt: 84.36%, Others: 15.64%.

Who manages Navi Liquid Fund-idcw Weekly?

Navi Liquid Fund-idcw Weekly is managed by Tanmay Sethi from Navi Mutual Fund.

When was the last dividend declared by Navi Liquid Fund-idcw Weekly?

Latest dividend was declared on 17 Nov 2025 at 0.10% of face value.

Which are the top companies Navi Liquid Fund-idcw Weekly has invested in?

  • Cash/Net Current Assets – 19.02% of the fund's portfolio
  • Cash/Net Current Assets – 15.64% of the fund's portfolio
  • Cash/Net Current Assets – 15.64% of the fund's portfolio
  • Maharashtra State 8.26 12/08/2025 – 12.67% of the fund's portfolio
  • GOVERNMENT OF INDIA 35923 91 DAYS TBILL 01AG25 FV RS 100 – 12.66% of the fund's portfolio

Which are the major sectors Navi Liquid Fund-idcw Weekly focuses on?

  • Financial – 275.45% of the fund's portfolio
  • Unspecified – 88.88% of the fund's portfolio
  • Materials – 23.12% of the fund's portfolio
  • Entities – 10.41% of the fund's portfolio
  • Industrials – 3.14% of the fund's portfolio
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Past performance may not be indicative of future results.

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^Returns as on 10th Jan’25. Tata AIA Life Top 200 ULIP Fund has delivered 18% returns over the last 10 years. Past performance is not necessarily indicative of future results. This disclaimer is specifically regarding a ULIP fund and is not related to mutual funds. Source: Morningstar.

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