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Navi Liquid Fund-idcw Weekly

Debt
Low to Moderate Risk

Latest AUM

₹ 74.7 Cr.

NAV as on 03 aug, 2026

₹ 10.02

+20.58% 3 years annulised
This Fund

Fund Details

Fund Names Navi Liquid Fund-idcw Weekly
Inception Date 19 Feb 2010
Lock In No Lock-in
Risk Principal at low to moderate risk
Category Average Annual Returns 6.97

Portfolio Composition Analysis

Debt 93.23%
Cash 6.77%
Portfolio Updated on: 06 Jul, 2026

Sector Allocations

Debt
Financial
828.29%
Entities
98.24%
Materials
85.26%
Real Estate
17.78%
Industrials
16.69%
Energy & Utilities
12.55%

Portfolio Updated on: 03 aug, 2026

Top 10 Holdings

Name Sector Instruments Assets
CENTRAL GOVERNMENT LOAN 21563 GOI 08AP26 7.27 FV RS 100 Entities GOI Securities 14.74%
GOVERNMENT OF INDIA 32845 GOI 17AP26 6.99 FV RS 100 Entities GOI Securities 11.95%
CENTRAL GOVERNMENT LOAN 21563 GOI 08AP26 7.27 FV RS 100 Entities GOI Securities 11.95%
GOVERNMENT OF INDIA 32845 GOI 17AP26 6.99 FV RS 100 Entities GOI Securities 16.07%
GOVERNMENT OF INDIA 36571 091 DAYS TBILL 02JN26 FV RS 100 Financial Treasury Bills 14.43%
GOVERNMENT OF INDIA 35151 364 DAYS TBILL 13NV25 FV RS 100 Financial Treasury Bills 15.12%
GOVERNMENT OF INDIA 36212 364 DAYS TBILL 16JL26 FV RS 100 Financial Treasury Bills 13.36%
GOVERNMENT OF INDIA 36212 364 DAYS TBILL 16JL26 FV RS 100 Financial Treasury Bills 13.36%
GOVERNMENT OF INDIA 36571 091 DAYS TBILL 02JN26 FV RS 100 Financial Treasury Bills 16.08%
GOVERNMENT OF INDIA 35151 364 DAYS TBILL 13NV25 FV RS 100 Financial Treasury Bills 16.02%

Debt & Credit Risk Analysis

Returns vs. Category (1 year)
Returns vs. Category (RSI)
Sharpe Ratio2.66%
Standard Deviation0.18%
Sortino Ratio4.76%

Returns Analysis

Tenure Absolute Annualised Category Average
3 Months 1.46% NA 1.50%
6 Months 2.87% NA 3.29%
9 Months 4.30% NA 5.11%
1 Year 5.71% 5.71% 6.97%
2 Years 12.74% 6.18% 7.17%
3 Years 20.46% 6.40% 7.01%
5 Years 33.63% 5.97% 5.63%
7 Years 43.93% 5.34% NA
10 Years 76.90% 5.87% 6.23%

Navi Liquid Fund-idcw Weekly is one Debt mutual fund offered by Navi Mutual Fund. Launched on 19 Feb 2010, the fund aims Income over short term. Investment in debt and money market instruments. It manages assets worth ₹74.7 crore as on Tue Jun 30, 2026. The expense ratio stands at 0.23%.

Tanmay Sethi has experience Prior to joining Navi Mutual Fund, he has worked with HDFC Mutual Fund

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 Navi Mutual Fund

Fund name
Navi Liquid Fund-growth74.7+0.45%+1.46%+2.87%+5.71%+6.40%+5.97%
Navi Liquid Fund Direct-growth74.7+0.45%+1.47%+2.90%+5.77%+6.46%+6.02%
Navi Liquid Fund-idcw Daily74.7+0.45%+1.46%+2.87%+5.71%+6.40%+5.97%
Navi Liquid Fund Direct-idcw Daily74.7+0.45%+1.47%+2.90%+5.77%+6.46%+6.02%
Navi Liquid Fund-idcw Monthly74.7+0.45%+1.46%+2.87%+5.71%+6.40%+5.97%
Navi Liquid Fund Direct-idcw Monthly74.7+0.45%+1.47%+2.90%+5.77%+6.46%+6.02%
Navi Liquid Fund Direct-idcw Weekly74.7+0.45%+1.47%+2.90%+5.77%+6.46%+6.02%

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 ₹10.02
02 Aug 2026 ₹10.01
01 Aug 2026 ₹10.01
31 Jul 2026 ₹10.01
30 Jul 2026 ₹10.01
29 Jul 2026 ₹10.01
28 Jul 2026 ₹10.01
27 Jul 2026 ₹10.01
26 Jul 2026 ₹10.01
25 Jul 2026 ₹10.01
24 Jul 2026 ₹10.01
23 Jul 2026 ₹10.01
22 Jul 2026 ₹10.01
21 Jul 2026 ₹10.01
20 Jul 2026 ₹10.01
19 Jul 2026 ₹10.01
18 Jul 2026 ₹10.01
17 Jul 2026 ₹10.01
16 Jul 2026 ₹10.01
15 Jul 2026 ₹10.01
14 Jul 2026 ₹10.01
13 Jul 2026 ₹10.01
12 Jul 2026 ₹10.01
11 Jul 2026 ₹10.01
10 Jul 2026 ₹10.01
09 Jul 2026 ₹10.01
08 Jul 2026 ₹10.01
07 Jul 2026 ₹10.01
06 Jul 2026 ₹10.02
05 Jul 2026 ₹10.02

Portfolio Updated on: 04 Aug, 2026

Fund Growth & Size Analysis

+₹74.7 Cr Since Launch
This Fund
Category Average

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Navi Liquid Fund-idcw Weekly Returns Comparison

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Navi Liquid Fund-idcw Weekly FAQ'S

  • Sharpe Ratio: 2.66%
  • Standard Deviation: 0.18%
  • Additional important ratios:

  • Sortino Ratio: 4.76%

As of Tue Jun 30, 2026, the total assets managed under Navi Liquid Fund-idcw Weekly stand at approximately ₹ 74.7 crore.

The Navi Liquid Fund-idcw Weekly has delivered the following short-term performance:

  • 3 Months Return: 1.46%
  • 6 Months Return: 2.87%

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

  • 3 Year CAGR: 6.40%
  • 5 Year CAGR: 5.97%
  • Return Since Launch: 6.94%

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

  • Debt Instruments: 93.23%
  • Other Assets: 6.77%

The Navi Liquid Fund-idcw Weekly is managed by Tanmay Sethi, representing Navi Mutual Fund.

Top stock holdings of Navi Liquid Fund-idcw Weekly include:

  • CENTRAL GOVERNMENT LOAN 21563 GOI 08AP26 7.27 FV RS 100 – represents 14.74% of the portfolio
  • GOVERNMENT OF INDIA 32845 GOI 17AP26 6.99 FV RS 100 – represents 11.95% of the portfolio
  • CENTRAL GOVERNMENT LOAN 21563 GOI 08AP26 7.27 FV RS 100 – represents 11.95% of the portfolio
  • GOVERNMENT OF INDIA 32845 GOI 17AP26 6.99 FV RS 100 – represents 16.07% of the portfolio
  • GOVERNMENT OF INDIA 36571 091 DAYS TBILL 02JN26 FV RS 100 – represents 14.43% of the portfolio
  • GOVERNMENT OF INDIA 35151 364 DAYS TBILL 13NV25 FV RS 100 – represents 15.12% of the portfolio
  • GOVERNMENT OF INDIA 36212 364 DAYS TBILL 16JL26 FV RS 100 – represents 13.36% of the portfolio
  • GOVERNMENT OF INDIA 36212 364 DAYS TBILL 16JL26 FV RS 100 – represents 13.36% of the portfolio
  • GOVERNMENT OF INDIA 36571 091 DAYS TBILL 02JN26 FV RS 100 – represents 16.08% of the portfolio
  • GOVERNMENT OF INDIA 35151 364 DAYS TBILL 13NV25 FV RS 100 – represents 16.02% of the portfolio

Major sector exposures in Navi Liquid Fund-idcw Weekly are:

  • Financial – accounts for 828.29% of the portfolio
  • Entities – accounts for 98.24% of the portfolio
  • Materials – accounts for 85.26% of the portfolio
  • Real Estate – accounts for 17.78% of the portfolio
  • Industrials – accounts for 16.69% of the portfolio

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