e.g. Tata motors, Reliance MF, 500570

Mirae Asset Liquid Fund - Direct Plan - Monthly IDCW Reinvestment

Debt Liquid Low to Moderate

NAV on (No Data Available)

₹0.00

No Data Available

Fund Size

₹13190.24 Crores

1Y Returns

No Data Available%

 
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Disclaimer: Mutual Fund investments are subject to market risks. Read all scheme related documents carefully before investing.

 

Investment Objective

The investment objective of the scheme is to seek to generate returns linked to short end rates like MIBOR and CBLO etc. and provide higher liquidity by investing in a portfolio of debt and money market instruments.

AMC

Mirae Asset Global Investments (India) Pvt. Ltd.

Fund Details

Launch Date

January 1, 2013

Fund Manager

Ms. Pranavi Kulkarni

Initial Price

1000

AUM Fund

13190.24 Cr

Min investment

Rs 5000

Expense Ratio

0.09%

SIP Minimum Investment

Monthly - Rs.99/- in multiples of Re.1/- thereafter for a minimum of 5 installments. Quarterly - Rs.99/- in multiples of Re.1/- thereafter for a minimum of 5 installments.

Exit Load

If redeemed/switched out within 1 day from the date of allotment: 0.0070% If redemption/switch out within 2 days from the date of allotment: 0.0065% If redemption/switch out within 3 days from the date of allotment: 0.0060% If redemption/switch out within 4 days from the date of allotment: 0.0055% If redemption/switch out within 5 days from the date of allotment: 0.0050% If redemption/switch out within 6 days from the date of allotment: 0.0045% If redemption/switch out 7 days onwards from the date of allotment: Nil.

Equity / Mid Cap funds 1Y 3Y Fund Size (Cr)
41.32% 41.38% ₹84054.59
29.40% 29.40% ₹119.79
18.90% 18.90% ₹119.79
7.37% 20.84% ₹2849.26
7.32% 22.72% ₹10633.07

Holdings

Bharat Petroleum Corporation Ltd. (MD 24/09/2026) 7.51%
Reliance Retail Ventures Ltd. (MD 23/09/2026) 6.76%
Union Bank of India (MD 24/09/2026) 5.26%
91 Days Treasury Bills (MD 24/09/2026) 4.89%
91 Days Treasury Bills (MD 17/09/2026) 4.52%
Hindustan Petroleum Corporation Ltd. (MD 29/09/2026) 4.13%
91 Days Treasury Bills (MD 13/08/2026) 3.97%
Bank of Baroda (MD 04/09/2026) 3.20%
Indian Oil Corporation Ltd. (MD 25/09/2026) 3.00%
HDFC Bank Ltd. (MD 19/10/2026) 2.24%
Union Bank of India (MD 27/10/2026) 1.87%
91 Days Treasury Bills (MD 20/08/2026) 1.51%
Tata Projects Ltd. (MD 20/08/2026) 1.51%
HDB Financial Services Ltd. (MD 04/09/2026) 1.51%
Indian Bank (MD 07/09/2026) 1.51%
L&T Finance Ltd. (MD 21/09/2026) 1.50%
Hindustan Petroleum Corporation Ltd. (MD 25/09/2026) 1.50%
Infina Finance Pvt. Ltd. (MD 15/10/2026) 1.49%
91 Days Treasury Bills (MD 06/08/2026) 1.33%
8.36% Godrej Industries Ltd. (MD 28/08/2026) 1.29%
Mindspace Business Parks Reit (MD 15/09/2026) 1.13%
Nexus Select Trust (MD 24/09/2026) 1.13%
Tata Realty and Infrastructure Ltd. (MD 28/10/2026) 1.12%
Punjab National Bank (MD 15/09/2026) 0.94%
HDFC Bank Ltd. (MD 21/09/2026) 0.94%
7.41% Indian Railway Finance Corporation Ltd. (MD 15/10/2026) 0.76%
8.28% GIC Housing Finance Ltd. (MD 21/08/2026) 0.76%
Julius Baer Capital (India) Pvt. Ltd. (MD 11/08/2026) 0.76%
360 One Prime Ltd. (MD 11/08/2026) 0.76%
Bajaj Finance Ltd. (MD 12/08/2026) 0.76%
Hero FinCorp Ltd. (MD 13/08/2026) 0.76%
Motilal Oswal Financial Services Ltd. (MD 18/08/2026) 0.76%
Birla Group Holding Pvt. Ltd. (MD 21/08/2026) 0.76%
Hero FinCorp Ltd. (MD 24/08/2026) 0.75%
ICICI Bank Ltd. (MD 31/08/2026) 0.75%
Godrej Properties Ltd. (MD 31/08/2026) 0.75%
TATA Capital Ltd. (MD 03/09/2026) 0.75%
Bajaj Finance Ltd. (MD 03/09/2026) 0.75%
182 Days Treasury Bills (MD 18/09/2026) 0.75%
Tata Projects Ltd. (MD 08/09/2026) 0.75%
Network18 Media & Investments Ltd. (MD 10/09/2026) 0.75%
Manappuram Finance Ltd. (MD 09/09/2026) 0.75%
National Bank for Agriculture and Rural Development (MD 15/09/2026) 0.75%
The India Cements Ltd. (MD 23/09/2026) 0.75%
Redington Ltd. (MD 23/09/2026) 0.75%
Bajaj Finance Ltd. (MD 25/09/2026) 0.75%
IDBI Bank Ltd. (MD 28/09/2026) 0.75%
TATA Capital Ltd. (MD 28/09/2026) 0.75%
Nuvama Wealth Finance Ltd. (MD 23/09/2026) 0.75%
Arka Fincap Ltd. (MD 25/09/2026) 0.75%
Union Bank of India (MD 19/10/2026) 0.75%
Axis Finance Ltd. (MD 23/10/2026) 0.75%
7.23% Indian Railway Finance Corporation Ltd. (MD 15/10/2026) 0.57%
Network18 Media & Investments Ltd. (MD 12/08/2026) 0.57%
Godrej Industries Ltd. (MD 12/08/2026) 0.57%
Aditya Birla Money Ltd. (MD 21/08/2026) 0.57%
Vertis Infrastructure Trust (MD 28/08/2026) 0.57%
Bharti Telecom Ltd. (MD 03/09/2026) 0.57%
ICICI Home Finance Co. Ltd. (MD 28/09/2026) 0.56%
National Bank for Agriculture and Rural Development (MD 01/10/2026) 0.56%
7.44% Small Industries Development Bank of India (MD 04/09/2026) 0.38%
7.50% National Bank for Agriculture and Rural Development (MD 31/08/2026) 0.38%
Bajaj Finance Ltd. (MD 05/08/2026) 0.38%
ICICI Home Finance Co. Ltd. (MD 06/08/2026) 0.38%
National Bank for Agriculture and Rural Development (MD 07/08/2026) 0.38%
Bajaj Finance Ltd. (MD 14/08/2026) 0.38%
HDFC Bank Ltd. (MD 25/08/2026) 0.38%
Bank of Baroda (MD 10/09/2026) 0.38%
Union Bank of India (MD 11/09/2026) 0.38%
Canara Bank (MD 01/10/2026) 0.37%
Hero FinCorp Ltd. (MD 19/10/2026) 0.37%
Corporate Debt Market Development Fund - Class A2 0.33%
Larsen & Toubro Ltd. (MD 04/09/2026) 0.19%
Axis Bank Ltd. (MD 10/09/2026) 0.19%
Axis Bank Ltd. (MD 16/09/2026) 0.19%
Indian Bank (MD 01/10/2026) 0.19%
Small Industries Development Bank of India (MD 13/10/2026) 0.19%
Titan Company Ltd. (MD 19/10/2026) 0.19%
TREPS 0.12%
Net Receivables / (Payables) 0.08%
Address
Unit 606, 6th Floor, Windsor, Off CST Road, Kalina, Santacruz (E), Mumbai Maharashtra India 400098
Phone
+91 22 67800300
Fax
+91 22 67253942
Launch Date
January 1, 2013
Custodian
Deutsche Bank, SBI SG Global Securities Services Pvt.Ltd.
Registrar & Transfer Agent
KFIN Technologies Pvt. Ltd.

Frequently Asked Questions

Q: What is the current NAV of Mirae Asset Liquid Fund - Direct Plan - Monthly IDCW Reinvestment?

A: The latest NAV of Mirae Asset Liquid Fund - Direct Plan - Monthly IDCW Reinvestment is ₹ .

Q: What type of mutual fund is Mirae Asset Liquid Fund - Direct Plan - Monthly IDCW Reinvestment?

A: Mirae Asset Liquid Fund - Direct Plan - Monthly IDCW Reinvestment is a 'Debt - Liquid' type mutual fund managed by 'Mirae Asset Global Investments (India) Pvt. Ltd.'.

Q: What is the expense ratio of Mirae Asset Liquid Fund - Direct Plan - Monthly IDCW Reinvestment?

A: The expense ratio of Mirae Asset Liquid Fund - Direct Plan - Monthly IDCW Reinvestment is 0.09%, which impacts overall returns.

Q: Who manages Mirae Asset Liquid Fund - Direct Plan - Monthly IDCW Reinvestment?

A: Mirae Asset Liquid Fund - Direct Plan - Monthly IDCW Reinvestment is managed by Ms. Pranavi Kulkarni, who oversees investment strategy and portfolio decisions.

Q: Is Mirae Asset Liquid Fund - Direct Plan - Monthly IDCW Reinvestment a good investment?

A: Mirae Asset Liquid Fund - Direct Plan - Monthly IDCW Reinvestment may be suitable depending on your financial goals, risk appetite, and investment horizon. Always evaluate fund performance and consult a financial advisor.

Q: What is the exit load of Mirae Asset Liquid Fund - Direct Plan - Monthly IDCW Reinvestment?

A: The exit load of Mirae Asset Liquid Fund - Direct Plan - Monthly IDCW Reinvestment is If redeemed/switched out within 1 day from the date of allotment: 0.0070% If redemption/switch out within 2 days from the date of allotment: 0.0065% If redemption/switch out within 3 days from the date of allotment: 0.0060% If redemption/switch out within 4 days from the date of allotment: 0.0055% If redemption/switch out within 5 days from the date of allotment: 0.0050% If redemption/switch out within 6 days from the date of allotment: 0.0045% If redemption/switch out 7 days onwards from the date of allotment: Nil., applicable if redeemed within the specified period.

Q: How is Mirae Asset Liquid Fund - Direct Plan - Monthly IDCW Reinvestment taxed?

A: Taxation depends on the fund type (equity/debt) and holding period as per Indian tax laws.

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