Hdfc Liquid Fund Overview
Category Liquid Fund
BMSMONEY Rank 15
Rating
Growth Option 21-02-2025
NAV ₹4999.68(R) +0.02% ₹5052.14(D) +0.02%
Returns 1Y 3Y 5Y 7Y 10Y
Lumpsum Regular 7.3% 6.52% 5.32% 5.73% 68.35%
Direct 7.37% 6.62% 5.42% 5.83% 68.5%
Benchmark
SIP (XIRR) Regular 7.17% 7.02% 6.13% 5.8% 46.2%
Direct 7.25% 7.11% 6.22% 5.9% 46.36%
Ratio Sharpe Ratio Sortino Ratio Sterling Ratio Jensen's Alpha Treynor Ratio
-0.99 -0.3 0.65 4.71% -0.02
Risk STD. Dev VaR 1Y95% Max DD Beta Semi Devi.
0.36% 0.0% 0.0% 0.18 0.3%

NAV Date: 21-02-2025

Scheme Name NAV Rupee Change Percent Change
HDFC Liquid Fund - IDCW Daily - Direct Plan 1019.82
0.0000
0.0000%
HDFC Liquid Fund - IDCW Daily 1019.82
0.0000
0.0000%
HDFC Liquid Fund - IDCW Monthly 1031.31
0.2000
0.0200%
HDFC Liquid Fund - IDCW Monthly - Direct Plan 1031.38
0.2000
0.0200%
HDFC Liquid Fund - IDCW Plan Weekly 1031.79
0.2000
0.0200%
HDFC Liquid Fund - IDCW Weekly - Direct Plan 1031.8
0.2000
0.0200%
HDFC Liquid Fund - Growth Plan 4999.68
0.9600
0.0200%
HDFC Liquid Fund - Growth Option - Direct Plan 5052.14
0.9900
0.0200%

Review Date: 21-02-2025


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KPIs* Fund Benchmark Cat. Avg Min | Max Rank (In Cat.) Performance
1M Return % 0.60
0.59
0.54 | 0.61 19 | 35 Average
3M Return % 1.75
1.74
1.59 | 1.78 22 | 35 Average
6M Return % 3.53
3.51
3.23 | 3.60 22 | 35 Average
1Y Return % 7.30
7.22
6.64 | 7.40 17 | 35 Good
3Y Return % 6.52
4.01
-77.08 | 6.65 17 | 34 Good
5Y Return % 5.32
3.35
-58.11 | 5.51 19 | 33 Average
7Y Return % 5.73
3.96
-45.28 | 5.96 21 | 29 Average
10Y Return % 68.35
7.13
-32.99 | 68.35 1 | 25 Very Good
15Y Return % 45.43
26.16
6.46 | 45.57 9 | 21 Good
1Y SIP Return % 7.17
7.12
6.54 | 7.30 19 | 35 Average
3Y SIP Return % 7.02
6.31
-15.21 | 7.14 18 | 34 Good
5Y SIP Return % 6.13
6.08
5.48 | 6.24 19 | 32 Average
7Y SIP Return % 5.80
5.79
5.19 | 5.92 17 | 28 Average
10Y SIP Return % 46.20
7.56
5.31 | 46.20 1 | 24 Very Good
15Y SIP Return % 51.67
25.09
5.93 | 51.67 1 | 20 Very Good
Semi Deviation 0.30
0.30
0.27 | 0.32 19 | 30 Average
Sharpe Ratio -0.99
-1.16
-2.74 | -0.70 17 | 30 Average
Sterling Ratio 0.65
0.64
0.58 | 0.66 16 | 30 Good
Sortino Ratio -0.30
-0.33
-0.63 | -0.22 18 | 30 Average
Jensen Alpha % 4.71
4.60
4.03 | 4.82 10 | 30 Good
Treynor Ratio -0.02
-0.02
-0.05 | -0.01 20 | 30 Average
Modigliani Square Measure % 13.21
13.22
11.99 | 13.95 19 | 30 Average
Alpha % -0.70
-0.74
-1.36 | -0.58 19 | 30 Average
Return data last Updated On : Feb. 21, 2025.
Other parameters, fund ranking, non return related analysis are updated after every month end. Last Updated On : Jan. 31, 2025
KPIs: Key Performance Indicators

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KPIs* Fund Benchmark Cat. Avg Min | Max Rank (In Cat.) Performance
1M Return % 0.61 0.60 0.57 | 0.63 22 | 35
3M Return % 1.77 1.77 1.69 | 1.84 26 | 35
6M Return % 3.57 3.58 3.39 | 3.67 25 | 35
1Y Return % 7.37 7.36 7.01 | 7.51 24 | 35
3Y Return % 6.62 4.15 -77.07 | 6.72 24 | 34
5Y Return % 5.42 3.49 -58.09 | 5.82 23 | 33
7Y Return % 5.83 4.09 -45.25 | 6.26 22 | 29
10Y Return % 68.50 7.21 -32.94 | 68.50 1 | 26
1Y SIP Return % 7.25 7.26 6.90 | 7.36 25 | 35
3Y SIP Return % 7.11 6.45 -15.18 | 7.21 22 | 34
5Y SIP Return % 6.22 6.22 5.89 | 6.37 25 | 32
7Y SIP Return % 5.90 5.93 5.63 | 6.21 23 | 28
10Y SIP Return % 46.36 7.61 5.64 | 46.36 1 | 25
Semi Deviation 0.30 0.30 0.27 | 0.32 19 | 30
Sharpe Ratio -0.99 -1.16 -2.74 | -0.70 17 | 30
Sterling Ratio 0.65 0.64 0.58 | 0.66 16 | 30
Sortino Ratio -0.30 -0.33 -0.63 | -0.22 18 | 30
Jensen Alpha % 4.71 4.60 4.03 | 4.82 10 | 30
Treynor Ratio -0.02 -0.02 -0.05 | -0.01 20 | 30
Modigliani Square Measure % 13.21 13.22 11.99 | 13.95 19 | 30
Alpha % -0.70 -0.74 -1.36 | -0.58 19 | 30
Return data last Updated On : Feb. 21, 2025.
Other parameters, fund ranking, non return related analysis are updated after every month end. Last Updated On : Jan. 31, 2025
KPIs: Key Performance Indicators

Investment Period Regular Direct
Return % Current Value of ₹ 10000 Return % Current Value of ₹ 10000
1D 0.02 ₹ 10,002.00 0.02 ₹ 10,002.00
1W 0.13 ₹ 10,013.00 0.13 ₹ 10,013.00
1M 0.60 ₹ 10,060.00 0.61 ₹ 10,061.00
3M 1.75 ₹ 10,175.00 1.77 ₹ 10,177.00
6M 3.53 ₹ 10,353.00 3.57 ₹ 10,357.00
1Y 7.30 ₹ 10,730.00 7.37 ₹ 10,737.00
3Y 6.52 ₹ 12,088.00 6.62 ₹ 12,120.00
5Y 5.32 ₹ 12,961.00 5.42 ₹ 13,021.00
7Y 5.73 ₹ 14,773.00 5.83 ₹ 14,871.00
10Y 68.35 ₹ 1,828,686.00 68.50 ₹ 1,845,523.00
15Y 45.43 ₹ 2,752,052.00

Disclaimer: Past performance may or may not be sustained in future and should not be used as a basis for comparison with other investments. Returns for periods above 1 year are annualised.

Investment Period Invested Amount Regular Direct
XIRR % Current Value of Invested Amount XIRR % Current Value of Invested Amount
1Y ₹ 12000 7.17 ₹ 12,463.20 7.25 ₹ 12,468.68
3Y ₹ 36000 7.02 ₹ 40,051.44 7.11 ₹ 40,104.90
5Y ₹ 60000 6.13 ₹ 70,072.02 6.22 ₹ 70,234.86
7Y ₹ 84000 5.80 ₹ 103,274.89 5.90 ₹ 103,629.46
10Y ₹ 120000 46.20 ₹ 1,404,129.84 46.36 ₹ 1,416,243.24
15Y ₹ 180000 51.67 ₹ 15,200,967.78


Date Hdfc Liquid Fund NAV Regular Growth Hdfc Liquid Fund NAV Direct Growth
21-02-2025 4999.6809 5052.1386
20-02-2025 4998.716 5051.1497
19-02-2025 4997.8461 5050.2569
18-02-2025 4996.9407 5049.3282
17-02-2025 4996.0146 5048.3785
14-02-2025 4993.3942 5045.6892
13-02-2025 4992.455 5044.7263
12-02-2025 4991.5616 5043.811
11-02-2025 4990.3362 5042.5601
10-02-2025 4989.2824 5041.4828
07-02-2025 4986.5621 5038.6968
06-02-2025 4985.6147 5037.7271
05-02-2025 4984.5073 5036.5957
04-02-2025 4983.2128 5035.274
03-02-2025 4982.0635 5034.1003
31-01-2025 4979.1886 5031.1586
30-01-2025 4978.3617 5030.3106
29-01-2025 4977.3961 5029.3226
28-01-2025 4976.4021 5028.3059
27-01-2025 4975.379 5027.2596
24-01-2025 4972.4848 5024.2982
23-01-2025 4971.661 5023.4536
22-01-2025 4970.7205 5022.491
21-01-2025 4969.9641 5021.7146

Fund Launch Date: 17/Oct/2000
Fund Category: Liquid Fund
Investment Objective: To generate income through a portfolio comprising money market and debt instruments. There is no assurance that the investment objective of the Scheme will be realized.
Fund Description: An open ended liquid scheme
Fund Benchmark: Crisil Liquid Fund Index
Source: Fund FactSheet

Disclaimer: NO INVESTMENT ADVICE. The Content is for informational purposes only.