UTI Liquid Cash Plan

Fund Overview Image
Image
Liquid Cash Plan
Fund Name
UTI Liquid Fund
Fund Short Description

An open ended debt fund investing in securities having maturity of up to 91 days

Fund Long Description

UTI Liquid Cash Plan predominately invests in high rated debt & money market instruments with a maturity of upto 91 days. Investment is made in issuers generally having A1+ or equivalent rating with the aim to minimize risk and generate reasonable income. It is a preferable investment option for parking money over a short period of time i.e. up to 1 month.

BM Index
CRISIL Liquid Fund AI Index
Exit Load

W.e.f. 21-10-2019: Exit Load : if redeemed 1st day-0.0070%, 2nd day-0.0065%, 3rd day-0.0060%, 4th day-0.0055%, 5th day-0.0050%, 6th day-0.0045% from the date of investment.

Special Facilities

SWP/Redeem/Switch

Benchmark Risk image and icon
Riskometer of Benchmark
Low to Moderate
Scheme Risk Category for image & icon
Type Ended
DISCONTINUED
scheme Fund Category
Liquid
Scheme Riskometer
Low to Moderate
Potential Risk Class

Relatively Low interest rate risk and Relatively Moderate Credit Risk (B-I)

Stated Asset Allocation

Money market instruments (including Triparty Repo on Governemnt Securities or treasury bill & Repo): 0-100% (Low) Debt Securities (including securitised debt): 0-100% (Low to Medium)* * Debt securities will also include Securitised Debt, which may go up to 50% of the portfolio

Maturity Date
1900-01-01T00:00:00
Investment Objective

The investment objective of the scheme is to generate steady and reasonable income, with low risk and high level of liquidity from a portfolio of debt & money market instruments. However there can be no assurance that the investment objective of the Scheme will be achieved. The Scheme does not guarantee / indicate any returns.

DOFA SchCode
153
Brief Intro Description

Liquid Cash

Fund Type

An open ended liquid scheme. A Relatively Low interest rate risk and Relatively Moderate Credit Risk (B-I)

Features

• Aims to generate steady & reasonable income with investments in high credit quality positioned at the near end of the yield curve • Positioned as low-risk, low-volatility fund which aims at offering reasonable returns to investors looking to park short term surplus funds • Investments in securities having a maturity of up to 91 days augments the liquid nature of the scheme • The fund invests predominantly in AAA/AA+ rated corporate bonds and money market & government securities • Well diversified portfolio of high credit quality debt & money market instruments with maturity up to 91 days tends to reduce probability of capital loss & volatility

Product Labeling

This product is suitable for investors who are seeking*: Steady and reasonable income over short-term with capital preservation. Investment in money market securities & high quality debt. Investors should consult their financial advisers if in doubt about whether the product is suitable for them.

Who should Invest?

- Investors looking for overall portfolio diversification - Investors who want growth with limited downside risk to their portfolio - Investors looking for tax efficient returns - Retirees looking for moderate and stable returns with low volatility - First time mutual fund investors

Scheme Code
CP
Aseet Class
LIQUID
Direct Option Code
G
Direct Option Desc
Growth
Direct Plan Code
D2
Direct Plan Description
Direct Growth Plan
regular Option Code
G
regular Option Desc
Growth
regular Plan Code
GP
regular Plan Description
Discontinued - Regular Growth Plan
Scheme plan details
DofaPlanCode
01
Plan
DP
Category
LIQUID
OptionName
D
OptionDescription
Periodic Payout of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
7.29
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
6.79
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
5.46
Inception Years
SI
schemeRedemption
6.98
BenchMarkReturn
7.01
nav
1132.7721
MinimumInvestmentAmount
20000.00
AUM
23382.8
ReturnsAsOn
31/03/2025
asOfDate
06/04/2025
DofaPlanCode
01
Plan
DP
Category
LIQUID
OptionName
R
OptionDescription
Periodic Reinvestment of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
7.29
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
6.79
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
5.46
Inception Years
SI
schemeRedemption
6.98
BenchMarkReturn
7.01
nav
1132.7721
MinimumInvestmentAmount
20000.00
AUM
23382.8
ReturnsAsOn
31/03/2025
asOfDate
06/04/2025
DofaPlanCode
02
Plan
GP
Category
LIQUID
OptionName
G
OptionDescription
Growth
PlanMode
REGULAR
PlanDescription
Discontinued - Regular Growth Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
7.29
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
6.79
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
5.46
Inception Years
SI
schemeRedemption
6.98
BenchMarkReturn
7.01
nav
3830.725
MinimumInvestmentAmount
500.00
AUM
23382.8
ReturnsAsOn
31/03/2025
asOfDate
06/04/2025
DofaPlanCode
05
Plan
MD
Category
LIQUID
OptionName
D
OptionDescription
Payout of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
7.29
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
6.79
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
5.46
Inception Years
SI
schemeRedemption
6.98
BenchMarkReturn
7.01
nav
1072.58
MinimumInvestmentAmount
20000.00
AUM
23382.8
ReturnsAsOn
31/03/2025
asOfDate
06/04/2025
DofaPlanCode
05
Plan
MD
Category
LIQUID
OptionName
R
OptionDescription
Reinvestment of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
7.29
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
6.79
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
5.46
Inception Years
SI
schemeRedemption
6.98
BenchMarkReturn
7.01
nav
1072.58
MinimumInvestmentAmount
20000.00
AUM
23382.8
ReturnsAsOn
31/03/2025
asOfDate
06/04/2025
DofaPlanCode
31
Plan
ID
Category
LIQUID
OptionName
R
OptionDescription
Daily Reinvestment of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
7.29
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
6.79
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
5.46
Inception Years
SI
schemeRedemption
6.98
BenchMarkReturn
7.01
nav
1111.2308
MinimumInvestmentAmount
20000.00
AUM
23382.8
ReturnsAsOn
31/03/2025
asOfDate
06/04/2025
DofaPlanCode
32
Plan
IG
Category
LIQUID
OptionName
G
OptionDescription
Growth
PlanMode
REGULAR
PlanDescription
Regular Growth Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
7.29
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
6.79
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
5.46
Inception Years
SI
schemeRedemption
6.98
BenchMarkReturn
7.01
nav
4221.4634
MinimumInvestmentAmount
500.00
AUM
23382.8
ReturnsAsOn
31/03/2025
asOfDate
06/04/2025
DofaPlanCode
35
Plan
IM
Category
LIQUID
OptionName
D
OptionDescription
Monthly Payout of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
7.29
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
6.79
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
5.46
Inception Years
SI
schemeRedemption
6.98
BenchMarkReturn
7.01
nav
1062.2936
MinimumInvestmentAmount
20000.00
AUM
23382.8
ReturnsAsOn
31/03/2025
asOfDate
06/04/2025
DofaPlanCode
35
Plan
IM
Category
LIQUID
OptionName
R
OptionDescription
Monthly Reinvestment of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
7.29
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
6.79
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
5.46
Inception Years
SI
schemeRedemption
6.98
BenchMarkReturn
7.01
nav
1062.2936
MinimumInvestmentAmount
20000.00
AUM
23382.8
ReturnsAsOn
31/03/2025
asOfDate
06/04/2025
DofaPlanCode
38
Plan
IW
Category
LIQUID
OptionName
R
OptionDescription
Weekly Reinvestment of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
7.29
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
6.79
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
5.46
Inception Years
SI
schemeRedemption
6.98
BenchMarkReturn
7.01
nav
1053.807
MinimumInvestmentAmount
20000.00
AUM
23382.8
ReturnsAsOn
31/03/2025
asOfDate
06/04/2025
DofaPlanCode
AD
Plan
AI
Category
LIQUID
OptionName
D
OptionDescription
Annual Payout of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
7.29
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
6.79
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
5.46
Inception Years
SI
schemeRedemption
6.98
BenchMarkReturn
7.01
nav
1861.4153
MinimumInvestmentAmount
20000.00
AUM
23382.8
ReturnsAsOn
31/03/2025
asOfDate
06/04/2025
DofaPlanCode
AD
Plan
AI
Category
LIQUID
OptionName
R
OptionDescription
Annual Reinvestment of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
7.29
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
6.79
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
5.46
Inception Years
SI
schemeRedemption
6.98
BenchMarkReturn
7.01
nav
1861.4153
MinimumInvestmentAmount
20000.00
AUM
23382.8
ReturnsAsOn
31/03/2025
asOfDate
06/04/2025
DofaPlanCode
FT
Plan
FT
Category
LIQUID
OptionName
D
OptionDescription
Fortnightly Payout of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
7.29
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
6.79
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
5.46
Inception Years
SI
schemeRedemption
6.98
BenchMarkReturn
7.01
nav
1161.5642
MinimumInvestmentAmount
20000.00
AUM
23382.8
ReturnsAsOn
31/03/2025
asOfDate
06/04/2025
DofaPlanCode
FT
Plan
FT
Category
LIQUID
OptionName
R
OptionDescription
Fortnightly Reinvestment of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
7.29
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
6.79
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
5.46
Inception Years
SI
schemeRedemption
6.98
BenchMarkReturn
7.01
nav
1161.5642
MinimumInvestmentAmount
20000.00
AUM
23382.8
ReturnsAsOn
31/03/2025
asOfDate
06/04/2025
DofaPlanCode
FX
Plan
FI
Category
LIQUID
OptionName
D
OptionDescription
Flexi Payout of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
7.29
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
6.79
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
5.46
Inception Years
SI
schemeRedemption
6.98
BenchMarkReturn
7.01
nav
1534.1376
MinimumInvestmentAmount
20000.00
AUM
23382.8
ReturnsAsOn
31/03/2025
asOfDate
06/04/2025
DofaPlanCode
FX
Plan
FI
Category
LIQUID
OptionName
R
OptionDescription
Flexi Reinvestment of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
7.29
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
6.79
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
5.46
Inception Years
SI
schemeRedemption
6.98
BenchMarkReturn
7.01
nav
1534.1376
MinimumInvestmentAmount
20000.00
AUM
23382.8
ReturnsAsOn
31/03/2025
asOfDate
06/04/2025
DofaPlanCode
HY
Plan
HI
Category
LIQUID
OptionName
D
OptionDescription
Half-yearly Payout of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
7.29
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
6.79
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
5.46
Inception Years
SI
schemeRedemption
6.98
BenchMarkReturn
7.01
nav
1295.9912
MinimumInvestmentAmount
20000.00
AUM
23382.8
ReturnsAsOn
31/03/2025
asOfDate
06/04/2025
DofaPlanCode
HY
Plan
HI
Category
LIQUID
OptionName
R
OptionDescription
Half-yearly Reinvestment of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
7.29
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
6.79
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
5.46
Inception Years
SI
schemeRedemption
6.98
BenchMarkReturn
7.01
nav
1295.9912
MinimumInvestmentAmount
20000.00
AUM
23382.8
ReturnsAsOn
31/03/2025
asOfDate
06/04/2025
DofaPlanCode
QI
Plan
QI
Category
LIQUID
OptionName
D
OptionDescription
Quarterly Payout of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
7.29
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
6.79
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
5.46
Inception Years
SI
schemeRedemption
6.98
BenchMarkReturn
7.01
nav
1757.5896
MinimumInvestmentAmount
20000.00
AUM
23382.8
ReturnsAsOn
31/03/2025
asOfDate
06/04/2025
DofaPlanCode
QI
Plan
QI
Category
LIQUID
OptionName
R
OptionDescription
Quarterly Reinvestment of IDCW
PlanMode
REGULAR
PlanDescription
Regular Plan
Nav since inception Data
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
7.29
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
6.79
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
5.46
Inception Years
SI
schemeRedemption
6.98
BenchMarkReturn
7.01
nav
1757.5896
MinimumInvestmentAmount
20000.00
AUM
23382.8
ReturnsAsOn
31/03/2025
asOfDate
06/04/2025
Face Value
1000
Brief Intro Web

UTI Liquid Cash Plan predominately invests in high rated debt & money market instruments with a maturity of up to 91 days. Investments are made in high credit quality issuers having A1+ or equivalent rating with an aim to minimize risk and generate reasonable income. It is a preferable investment option for parking money over a short period of time i.e. up to 1 month.

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Investment Purpose
Filter Load
Nil after 6 days
Scheme faq
Question
What are Liquid Cash Plan?
Answer

UTI Liquid Cash Plan is an open ended liquid fund investing in debt and money market instruments with maturity of up to 91 days.

Question
Should I invest in UTI Liquid Cash Plan?
Answer

• Aims to generate reasonable income with high quality low risk portfolio
• The scheme provides an alternate avenue to park surplus funds lying idle in savings/ current accounts

Question
How to Invest in UTI Liquid Cash Plan?
Answer

Investors can simply log on to utimf.com or use UTI Mutual Fund Application and start investing subject to KYC compliance. Investors may also approach nearest UTI Financial Centers (UFCs). Alternatively, you may also approach your mutual fund distributor, financial advisor or various online platform for investments.

Question
How are Liquid Cash Plan taxed?
Answer

UTI Liquid Cash Plan will attract capital gains tax if the redemption value is more than the purchase price. The gains can either be short term or long term in nature.
If you hold units for 3 years or less, the gains made are subject to Short-Term Capital Gains Tax and are taxed as per your income slab. If you hold the units for more than three years, the gains are subject to Long-Term Capital Gains Tax which is taxed at 20% and you would get the benefit of indexation (available to debt funds). Indexation accounts for the effect of inflation in the acquisition purchase cost i.e. the purchase price is increased to adjust for inflation (using an index provided by the Government) before calculating the capital gain. Thus, it reduces the overall tax liability.

Question
What are the benefits of investing in UTI Liquid Cash Plan?
Answer

• UTI Liquid Cash Plan is highly liquid in nature as investments are made in securities having a maturity of upto 91 days
•The fund is positioned as low-risk, low-volatility fund which aims at offering reasonable returns to investors looking to park short term surplus

NFO
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Tags
Tag1
Debt
Tag2
Liquid
spotlight banner
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Segregated
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MFD Choice
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X Folios in scheme
X folios in this scheme
Years of the scheme
19+ Years in the market
PDP Banner Description

A short term debt fund usually, with high liquidity

Curated Fund
Off
Fund of Month
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Plan info for investor
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
01
MinimumInvestmentAmount
20000.00
nav
1132.7721
OptionDescription
Periodic Payout of IDCW
OptionName
D
Plan
DP
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.98
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
01
MinimumInvestmentAmount
20000.00
nav
1132.7721
OptionDescription
Periodic Reinvestment of IDCW
OptionName
R
Plan
DP
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.98
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
02
MinimumInvestmentAmount
500.00
nav
3830.725
OptionDescription
Growth
OptionName
G
Plan
GP
PlanDescription
Discontinued - Regular Growth Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.98
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
05
MinimumInvestmentAmount
20000.00
nav
1072.58
OptionDescription
Payout of IDCW
OptionName
D
Plan
MD
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.98
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
05
MinimumInvestmentAmount
20000.00
nav
1072.58
OptionDescription
Reinvestment of IDCW
OptionName
R
Plan
MD
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.98
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
31
MinimumInvestmentAmount
20000.00
nav
1111.2308
OptionDescription
Daily Reinvestment of IDCW
OptionName
R
Plan
ID
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.98
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
32
MinimumInvestmentAmount
500.00
nav
4221.4634
OptionDescription
Growth
OptionName
G
Plan
IG
PlanDescription
Regular Growth Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.98
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
35
MinimumInvestmentAmount
20000.00
nav
1062.2936
OptionDescription
Monthly Payout of IDCW
OptionName
D
Plan
IM
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.98
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
35
MinimumInvestmentAmount
20000.00
nav
1062.2936
OptionDescription
Monthly Reinvestment of IDCW
OptionName
R
Plan
IM
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.98
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
38
MinimumInvestmentAmount
20000.00
nav
1053.807
OptionDescription
Weekly Reinvestment of IDCW
OptionName
R
Plan
IW
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.98
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
AD
MinimumInvestmentAmount
20000.00
nav
1861.4153
OptionDescription
Annual Payout of IDCW
OptionName
D
Plan
AI
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.98
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
AD
MinimumInvestmentAmount
20000.00
nav
1861.4153
OptionDescription
Annual Reinvestment of IDCW
OptionName
R
Plan
AI
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.98
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
DAD
MinimumInvestmentAmount
20000.00
nav
1872.9683
OptionDescription
Annual Payout of IDCW
OptionName
D
Plan
D8
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.41
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.81
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.51
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.87
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
DAD
MinimumInvestmentAmount
20000.00
nav
1872.9683
OptionDescription
Annual Reinvestment of IDCW
OptionName
R
Plan
D8
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.41
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.81
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.51
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.87
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
DFT
MinimumInvestmentAmount
20000.00
nav
1159.1703
OptionDescription
Fortnightly Payout of IDCW
OptionName
D
Plan
D5
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.41
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.81
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.51
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.87
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
DFT
MinimumInvestmentAmount
20000.00
nav
1159.1703
OptionDescription
Fortnightly Reinvestment of IDCW
OptionName
R
Plan
D5
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.41
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.81
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.51
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.87
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
DFX
MinimumInvestmentAmount
20000.00
nav
1542.6609
OptionDescription
Flexi Payout of IDCW
OptionName
D
Plan
D9
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.41
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.81
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.51
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.87
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
DFX
MinimumInvestmentAmount
20000.00
nav
1542.6609
OptionDescription
Flexi Reinvestment of IDCW
OptionName
R
Plan
D9
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.41
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.81
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.51
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.87
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
DGI
MinimumInvestmentAmount
500.00
nav
4258.8057
OptionDescription
Growth
OptionName
G
Plan
D2
PlanDescription
Direct Growth Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.41
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.81
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.51
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.87
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
DHY
MinimumInvestmentAmount
20000.00
nav
1463.0331
OptionDescription
Half-yearly Payout of IDCW
OptionName
D
Plan
D7
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.41
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.81
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.51
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.87
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
DHY
MinimumInvestmentAmount
20000.00
nav
1463.0331
OptionDescription
Half-yearly Reinvestment of IDCW
OptionName
R
Plan
D7
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.41
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.81
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.51
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.87
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
DII
MinimumInvestmentAmount
20000.00
nav
1064.7682
OptionDescription
Daily Reinvestment of IDCW
OptionName
R
Plan
D1
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.41
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.81
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.51
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.87
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
DMI
MinimumInvestmentAmount
20000.00
nav
1044.8651
OptionDescription
Monthly Payout of IDCW
OptionName
D
Plan
D3
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.41
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.81
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.51
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.87
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
DMI
MinimumInvestmentAmount
20000.00
nav
1044.8651
OptionDescription
Monthly Reinvestment of IDCW
OptionName
R
Plan
D3
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.41
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.81
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.51
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.87
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
DQI
MinimumInvestmentAmount
20000.00
nav
1768.8903
OptionDescription
Quarterly Payout of IDCW
OptionName
D
Plan
D6
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.41
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.81
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.51
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.87
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
DQI
MinimumInvestmentAmount
20000.00
nav
1768.8903
OptionDescription
Quarterly Reinvestment of IDCW
OptionName
R
Plan
D6
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.41
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.81
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.51
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.87
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
DWI
MinimumInvestmentAmount
20000.00
nav
1322.4948
OptionDescription
Weekly Reinvestment of IDCW
OptionName
R
Plan
D4
PlanDescription
Direct Plan
PlanMode
DIRECT
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.41
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.81
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.51
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.87
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
FT
MinimumInvestmentAmount
20000.00
nav
1161.5642
OptionDescription
Fortnightly Payout of IDCW
OptionName
D
Plan
FT
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.98
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
FT
MinimumInvestmentAmount
20000.00
nav
1161.5642
OptionDescription
Fortnightly Reinvestment of IDCW
OptionName
R
Plan
FT
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.98
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
FX
MinimumInvestmentAmount
20000.00
nav
1534.1376
OptionDescription
Flexi Payout of IDCW
OptionName
D
Plan
FI
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.98
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
FX
MinimumInvestmentAmount
20000.00
nav
1534.1376
OptionDescription
Flexi Reinvestment of IDCW
OptionName
R
Plan
FI
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.98
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
HY
MinimumInvestmentAmount
20000.00
nav
1295.9912
OptionDescription
Half-yearly Payout of IDCW
OptionName
D
Plan
HI
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.98
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
HY
MinimumInvestmentAmount
20000.00
nav
1295.9912
OptionDescription
Half-yearly Reinvestment of IDCW
OptionName
R
Plan
HI
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.98
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
QI
MinimumInvestmentAmount
20000.00
nav
1757.5896
OptionDescription
Quarterly Payout of IDCW
OptionName
D
Plan
QI
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.98
asOfDate
06/04/2025
AUM
23382.8
Category
LIQUID
DofaPlanCode
QI
MinimumInvestmentAmount
20000.00
nav
1757.5896
OptionDescription
Quarterly Reinvestment of IDCW
OptionName
R
Plan
QI
PlanDescription
Regular Plan
PlanMode
REGULAR
ReturnsAsOn
31/03/2025
since inception data
BenchMarkReturn
7.29
Inception Years
1Y
schemeRedemption
7.32
BenchMarkReturn
6.79
Inception Years
3Y
schemeRedemption
6.72
BenchMarkReturn
5.46
Inception Years
5Y
schemeRedemption
5.41
BenchMarkReturn
7.01
Inception Years
SI
schemeRedemption
6.98
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