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Lic Mf Liquid Fund Regular-idcw Weekly

Debt
Moderate Risk

Latest AUM

₹ 13,416.5 Cr.

NAV as on 03 aug, 2026

₹ 1,003.29

+20.58% 3 years annulised
This Fund

Fund Details

Fund Names Lic Mf Liquid Fund Regular-idcw Weekly
Inception Date 28 Jul 2023
Lock In No Lock-in
Risk Principal at moderate risk
Category Average Annual Returns 6.97

Portfolio Composition Analysis

Debt 113.39%
Portfolio Updated on: 08 Jul, 2026

Sector Allocations

Debt
Financial
862.26%
Energy & Utilities
37.96%
Diversified
36.47%
Technology
22.38%
Consumer Discretionary
15.05%
Industrials
11.23%
Healthcare
8.15%
Materials
1.30%
Real Estate
0.93%

Portfolio Updated on: 03 aug, 2026

Top 10 Holdings

Name Sector Instruments Assets
GOVERNMENT OF INDIA 37435 091 DAYS TBILL 13AG26 FV RS 100 Financial Treasury Bills 5.00%
GOVERNMENT OF INDIA 37435 091 DAYS TBILL 13AG26 FV RS 100 Financial Treasury Bills 5.00%
GOVERNMENT OF INDIA 37435 091 DAYS TBILL 13AG26 FV RS 100 Financial Treasury Bills 4.01%
GOVERNMENT OF INDIA 36369 091 DAYS TBILL 28NV25 FV RS 100 Financial Treasury Bills 5.06%
GOVERNMENT OF INDIA 37423 091 DAYS TBILL 06AG26 FV RS 100 Financial Treasury Bills 4.45%
GOVERNMENT OF INDIA 37423 091 DAYS TBILL 06AG26 FV RS 100 Financial Treasury Bills 4.45%
GOVERNMENT OF INDIA 36369 091 DAYS TBILL 28NV25 FV RS 100 Financial Treasury Bills 5.22%
GOVERNMENT OF INDIA 36369 091 DAYS TBILL 28NV25 FV RS 100 Financial Treasury Bills 5.22%
GOVERNMENT OF INDIA 37423 091 DAYS TBILL 06AG26 FV RS 100 Financial Treasury Bills 3.71%
GOVERNMENT OF INDIA 36369 091 DAYS TBILL 28NV25 FV RS 100 Financial Treasury Bills 4.85%

Debt & Credit Risk Analysis

Returns vs. Category (1 year)
Returns vs. Category (RSI)
Sharpe Ratio4.34%
Standard Deviation0.21%
Sortino Ratio8.42%

Returns Analysis

Tenure Absolute Annualised Category Average
3 Months 1.66% NA 1.50%
6 Months 3.34% NA 3.29%
9 Months 4.83% NA 5.11%
1 Year 6.31% 6.31% 6.97%
2 Years 13.72% 6.64% 7.17%
3 Years 22.02% 6.86% 7.01%
5 Years 34.77% 6.15% 5.63%
7 Years 46.53% 5.61% NA
10 Years 79.59% 6.03% 6.23%

Lic Mf Liquid Fund Regular-idcw Weekly is one Debt mutual fund offered by LIC Mutual Fund. Launched on 28 Jul 2023, the fund aims Regular income for short term. Investment in Debt/Money Market Instruments with maturity of upto 91 days. It manages assets worth ₹13,416.5 crore as on Tue Jun 30, 2026. The expense ratio stands at 0.2%.

Rahul Singh has experience Prior to joining LIC Nomura Mutual Fund , he has worked with BOI AXA Investment Managers(August 2009-August 2015) , ING Investment Management (May 2008- August 2009) Standard Chartered Bank (intern)( April 2007- May 2007) and Ashika Capital ( Jan 2004 - April 2006).

Top Performing Mutual Funds

Fund name
Aditya Birla Sun Life Liquid Fund Direct-growth63,686.6+0.50%+1.70%+3.42%+6.49%+7.03%+6.33%
Aditya Birla Sun Life Liquid Fund Direct-idcw63,686.6+0.50%+1.70%+3.42%+6.49%+7.03%+6.33%
Aditya Birla Sun Life Liquid Fund Direct-idcw Daily63,686.6+0.50%+1.70%+3.42%+6.49%+7.03%+6.33%
Aditya Birla Sun Life Liquid Fund Direct-idcw Weekly63,686.6+0.50%+1.70%+3.42%+6.49%+7.03%+6.33%
Axis Liquid Direct Fund-growth44,865.9+0.50%+1.70%+3.42%+6.49%+7.02%+6.32%
Axis Liquid Direct Fund-idcw Daily44,865.9+0.50%+1.70%+3.42%+6.49%+7.02%+6.32%
Axis Liquid Direct Fund-idcw Monthly44,865.9+0.50%+1.70%+3.42%+6.49%+7.02%+6.32%
Axis Liquid Direct Fund-idcw Weekly44,865.9+0.50%+1.70%+3.42%+6.49%+7.02%+6.32%
Sundaram Liquid Direct-growth6,365.2+0.58%+1.77%+3.46%+6.50%+7.02%+6.31%
Sundaram Liquid Direct-idcw Monthly6,365.2+0.58%+1.77%+3.46%+6.50%+7.02%+6.31%

growth is based on 1-month returns of the funds & Top fund are based on 3Y Returns

More Funds from LIC Mutual Fund

Fund name
Lic Mf Liquid Fund Direct-growth13,416.5+0.50%+1.67%+3.38%+6.42%+6.96%+6.26%
Lic Mf Liquid Fund Regular-growth13,416.5+0.49%+1.66%+3.34%+6.31%+6.86%+6.15%
Lic Mf Liquid Fund Direct-idcw Daily13,416.5+0.50%+1.67%+3.38%+6.42%+6.96%+6.26%
Lic Mf Liquid Fund Regular-idcw Daily13,416.5+0.49%+1.66%+3.34%+6.31%+6.86%+6.15%
Lic Mf Liquid Fund Direct-idcw Monthly13,416.5+0.50%+1.67%+3.38%+6.42%+6.96%+6.26%
Lic Mf Liquid Fund Regular-idcw Monthly13,416.5+0.49%+1.66%+3.34%+6.31%+6.86%+6.15%
Lic Mf Liquid Fund Direct-idcw Weekly13,416.5+0.50%+1.67%+3.38%+6.42%+6.96%+6.26%

growth is based on 1-month returns of the funds

Top Mutual Funds

Fund name
SBI Liquid Fund Direct Plan-growth71,448.4+0.49%+1.69%+3.37%+6.38%+6.93%+6.24%
SBI Liquid Fund-growth71,448.4+0.48%+1.66%+3.33%+6.28%+6.82%+6.13%
SBI Liquid Fund-idcw Daily71,448.4+0.48%+1.66%+3.33%+6.28%+6.82%+6.13%
SBI Liquid Fund Direct Plan-idcw Daily71,448.4+0.49%+1.69%+3.37%+6.38%+6.93%+6.24%
SBI Liquid Fund-idcw Fortnightly71,448.4+0.48%+1.66%+3.33%+6.28%+6.82%+6.13%
SBI Liquid Fund Direct Plan-idcw Fortnightly71,448.4+0.49%+1.69%+3.37%+6.38%+6.93%+6.24%
SBI Liquid Fund Direct Plan-idcw Weekly71,448.4+0.49%+1.69%+3.37%+6.38%+6.93%+6.24%
SBI Liquid Fund-idcw Weekly71,448.4+0.48%+1.66%+3.33%+6.28%+6.82%+6.13%
HDFC Liquid Direct Plan-growth65,878.3+0.49%+1.67%+3.36%+6.39%+6.95%+6.25%
HDFC Liquid Fund Regular-growth65,878.3+0.48%+1.64%+3.31%+6.30%+6.86%+6.15%

Top funds are based on Fund AUM

Top Debt Funds

Fund name
Aditya Birla Sun Life Liquid Fund Direct-growth₹455.92+7.03%+6.33%
Aditya Birla Sun Life Liquid Fund Direct-idcw₹137.11+7.03%+6.33%
Aditya Birla Sun Life Liquid Fund Direct-idcw Daily₹100.20+7.03%+6.33%
Aditya Birla Sun Life Liquid Fund Direct-idcw Weekly₹100.28+7.03%+6.33%
Axis Liquid Direct Fund-growth₹3,139.50+7.02%+6.32%
Axis Liquid Direct Fund-idcw Daily₹1,000.96+7.02%+6.32%
Axis Liquid Direct Fund-idcw Monthly₹1,001.98+7.02%+6.32%
Axis Liquid Direct Fund-idcw Weekly₹1,002.09+7.02%+6.32%
Sundaram Liquid Direct-growth₹2,494.83+7.02%+6.31%
Sundaram Liquid Direct-idcw Monthly₹1,043.93+7.02%+6.31%

growth is based on 5Y returns of the funds

Historical NAV

Date NAV
03 Aug 2026 ₹1,003.29
02 Aug 2026 ₹1,003.07
01 Aug 2026 ₹1,002.90
31 Jul 2026 ₹1,002.73
30 Jul 2026 ₹1,002.49
29 Jul 2026 ₹1,002.32
28 Jul 2026 ₹1,003.36
27 Jul 2026 ₹1,003.23
26 Jul 2026 ₹1,003.08
25 Jul 2026 ₹1,002.92
24 Jul 2026 ₹1,002.75
23 Jul 2026 ₹1,002.52
22 Jul 2026 ₹1,002.32
21 Jul 2026 ₹1,003.40
20 Jul 2026 ₹1,003.25
19 Jul 2026 ₹1,003.12
18 Jul 2026 ₹1,002.96
17 Jul 2026 ₹1,002.79
16 Jul 2026 ₹1,002.53
15 Jul 2026 ₹1,002.32
14 Jul 2026 ₹1,003.38
13 Jul 2026 ₹1,003.32
12 Jul 2026 ₹1,003.17
11 Jul 2026 ₹1,003.00
10 Jul 2026 ₹1,002.84
09 Jul 2026 ₹1,002.56
08 Jul 2026 ₹1,002.32
07 Jul 2026 ₹1,003.01
06 Jul 2026 ₹1,002.98
05 Jul 2026 ₹1,003.03

Portfolio Updated on: 04 Aug, 2026

Fund Growth & Size Analysis

+₹13,416.5 Cr Since Launch
This Fund
Category Average

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Lic Mf Liquid Fund Regular-idcw Weekly Returns Comparison

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Lic Mf Liquid Fund Regular-idcw Weekly FAQ'S

  • Sharpe Ratio: 4.34%
  • Standard Deviation: 0.21%
  • Additional important ratios:

  • Sortino Ratio: 8.42%

As of Tue Jun 30, 2026, the total assets managed under Lic Mf Liquid Fund Regular-idcw Weekly stand at approximately ₹ 13,416.5 crore.

The Lic Mf Liquid Fund Regular-idcw Weekly has delivered the following short-term performance:

  • 3 Months Return: 1.66%
  • 6 Months Return: 3.34%

The historical growth of the Lic Mf Liquid Fund Regular-idcw Weekly is reflected through its CAGR returns:

  • 3 Year CAGR: 6.86%
  • 5 Year CAGR: 6.15%
  • Return Since Launch: 6.89%

The portfolio of Lic Mf Liquid Fund Regular-idcw Weekly is distributed across different asset classes as follows:

  • Debt Instruments: 113.39%

The Lic Mf Liquid Fund Regular-idcw Weekly is managed by Rahul Singh, representing LIC Mutual Fund.

Top stock holdings of Lic Mf Liquid Fund Regular-idcw Weekly include:

  • GOVERNMENT OF INDIA 37435 091 DAYS TBILL 13AG26 FV RS 100 – represents 5.00% of the portfolio
  • GOVERNMENT OF INDIA 37435 091 DAYS TBILL 13AG26 FV RS 100 – represents 5.00% of the portfolio
  • GOVERNMENT OF INDIA 37435 091 DAYS TBILL 13AG26 FV RS 100 – represents 4.01% of the portfolio
  • GOVERNMENT OF INDIA 36369 091 DAYS TBILL 28NV25 FV RS 100 – represents 5.06% of the portfolio
  • GOVERNMENT OF INDIA 37423 091 DAYS TBILL 06AG26 FV RS 100 – represents 4.45% of the portfolio
  • GOVERNMENT OF INDIA 37423 091 DAYS TBILL 06AG26 FV RS 100 – represents 4.45% of the portfolio
  • GOVERNMENT OF INDIA 36369 091 DAYS TBILL 28NV25 FV RS 100 – represents 5.22% of the portfolio
  • GOVERNMENT OF INDIA 36369 091 DAYS TBILL 28NV25 FV RS 100 – represents 5.22% of the portfolio
  • GOVERNMENT OF INDIA 37423 091 DAYS TBILL 06AG26 FV RS 100 – represents 3.71% of the portfolio
  • GOVERNMENT OF INDIA 36369 091 DAYS TBILL 28NV25 FV RS 100 – represents 4.85% of the portfolio

Major sector exposures in Lic Mf Liquid Fund Regular-idcw Weekly are:

  • Financial – accounts for 862.26% of the portfolio
  • Energy & Utilities – accounts for 37.96% of the portfolio
  • Diversified – accounts for 36.47% of the portfolio
  • Technology – accounts for 22.38% of the portfolio
  • Consumer Discretionary – accounts for 15.05% of the portfolio

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