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Kotak Mahindra Mutual FundLiquidDirect plan, growth

Kotak Liquid Fund

NAV
₹5,742.56
14 Sept 2026
AUM (₹ Cr)
44,350
Average, April - June 2026
Expense ratio
0.15%
Regular 0.33%
Risk
Moderate
SEBI riskometer
3Y CAGR
7.0%0.0%
Benchmark 6.9%
5Y CAGR
6.3%0.0%
Benchmark 6.3%
Loading NAV history…
Kotak Liquid Fund

Calendar-year returns

Fund only: no comparison series covers this fund's history.

Risk statistics

Five years of daily NAVs. Risk-free rate 6.5% a year.

Standard deviation
Maximum drawdown
Sharpe ratio
Sortino ratio
Beta
Alpha
Information ratio
Upside capture
Downside capture
Tracking error
Trailing returns compared with benchmark
Period1M3M6MYTD1Y3YCAGR5YCAGR10YCAGRLaunchCAGR
Fund+0.5%+1.7%+3.5%+4.7%+6.5%+7.0%+6.3%+6.1%+49.5%
NIFTY Liquid Index A-I6.5%6.9%6.3%6.0%6.8%
Liquid average0.5%-0.6%1.2%2.3%3.9%5.2%3.2%3.8%10.9%
Difference+0.1%0.0%0.0%+0.1%+42.7%

Portfolio

Fund details

Fund house
Kotak Mahindra Mutual Fund
Category
Debt · Liquid
SEBI classification
Debt / Liquid
Benchmark
NIFTY Liquid Index A-I
Launch date
2 Apr 2006 (20.5 years)
Structure
Open Ended
Plans and options
Direct Growth, Regular Growth, Regular Growth
Fund manager
Deepak Agrawal
Minimum SIP
₹500
Minimum lumpsum
₹1,000 (then ₹500)
Exit load
0.01%
Lock-in
None
Riskometer
Moderate (benchmark Low to Moderate)
Expense ratio as of
7 Sept 2026
AUM period
April - June 2026
ISIN, Direct Growth
INF174K01NE8
ISIN, Regular Growth (100835)
INF174K01NI9
ISIN, Regular Growth (154605)
INF174KA1D91
Scheme code
119766, 100835, 154605

NAV and returns as of 14 Sept 2026; returns are for the direct plan, growth option, before entry or exit costs. Not investment advice.

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