Mutual Fund Subcategory

Liquid Fund

Explore Liquid Fund mutual funds within the Debt category.

54 Funds
42 AMCs
Category: Debt
Updated: October 4, 2026

Liquid Fund Performance Highlights

Highlights based on currently available historical return data.

Liquid Fund Mutual Funds

54 eligible public funds found.

Fund AMC / Subcategory NAV 1Y 3Y Sorted from highest to lowest return 5Y 10Y
Franklin India Liquid Fund Regular • Growth • Code 139889 Franklin Templeton Mutual Fund Liquid Fund 18.0907 October 4, 2026 6.51% 6.96% 6.39% 6.05%
BANK OF INDIA LIQUID FUND Regular • Growth • Code 109254 Bank of India Mutual Fund Liquid Fund 3,250.0869 October 4, 2026 6.45% 6.92% 6.36% 6.04%
Franklin India Liquid Fund Regular • Growth • Code 100546 Franklin Templeton Mutual Fund Liquid Fund 4,248.6065 October 4, 2026 6.45% 6.90% 6.32% 6.10%
Axis Liquid Fund Regular • Growth • Code 112210 Axis Mutual Fund Liquid Fund 3,142.2217 October 4, 2026 6.45% 6.90% 6.34% 6.08%
DSP Liquid Fund Regular • Growth • Code 103347 DSP Mutual Fund Liquid Fund 4,027.5428 October 4, 2026 6.42% 6.86% 6.30% 6.01%
Invesco India Liquid Fund Regular • Growth • Code 104486 Invesco Mutual Fund Liquid Fund 3,877.0511 October 4, 2026 6.41% 6.86% 6.30% 6.01%
Groww Liquid Fund Regular • Growth • Code 115991 Groww Mutual Fund Liquid Fund 2,727.1951 October 4, 2026 6.38% 6.86% 6.19% 5.94%
UTI - Liquid Fund Regular • Growth • Code 102012 UTI Mutual Fund Liquid Fund 462.7129 October 4, 2026 6.41% 6.85% 6.30% 6.04%
Mahindra Manulife Liquid Fund Regular • Growth • Code 139537 Mahindra Manulife Mutual Fund Liquid Fund 1,835.1612 October 4, 2026 6.39% 6.85% 6.31% 6.07%
PGIM India Liquid Fund Regular • Growth • Code 138288 PGIM India Mutual Fund Liquid Fund 367.1481 October 4, 2026 6.40% 6.84% 6.28% 6.05%
HSBC Liquid Fund Regular • Growth • Code 118907 HSBC Mutual Fund Liquid Fund 4,055.7057 October 4, 2026 6.36% 6.84% 6.10% 5.49%
HSBC Liquid Fund Regular • Growth • Code 118902 HSBC Mutual Fund Liquid Fund 2,810.9881 October 4, 2026 6.36% 6.84% 6.29% 6.02%
Nippon India Liquid Fund Regular • Growth • Code 100851 Nippon India Mutual Fund Liquid Fund 6,881.3349 October 4, 2026 6.37% 6.83% 6.26% 6.03%
Mirae Asset Liquid Fund Regular • Growth • Code 111646 Mirae Asset Mutual Fund Liquid Fund 2,954.7077 October 4, 2026 6.30% 6.81% 6.27% 6.01%
Sundaram Liquid Fund (Formerly Known as Principal Cash Management Fund) Regular • Growth • Code 149661 Sundaram Mutual Fund Liquid Fund 2,485.4213 October 4, 2026 6.33% 6.79% — —
BARODA BNP PARIBAS LIQUID FUND Regular • Growth • Code 101408 Baroda BNP Paribas Mutual Fund Liquid Fund 4,770.2626 October 4, 2026 6.33% 6.78% 6.28% 6.04%
BARODA BNP PARIBAS LIQUID FUND Regular • Growth • Code 111704 Baroda BNP Paribas Mutual Fund Liquid Fund 3,240.1542 October 4, 2026 6.33% 6.78% 6.27% 6.03%
SBI LIQUID FUND Regular • Growth • Code 105280 SBI Mutual Fund Liquid Fund 4,405.6876 October 4, 2026 6.36% 6.78% 6.23% 5.97%
SBI LIQUID FUND Regular • Growth • Code 105274 SBI Mutual Fund Liquid Fund 4,447.3400 October 4, 2026 6.36% 6.78% 6.23% 5.97%
Bajaj Finserv Liquid Fund Regular • Growth • Code 151837 Bajaj Finserv Mutual Fund Liquid Fund 1,237.2971 October 4, 2026 6.27% 6.76% — —

Related Subcategories

Explore other mutual fund subcategories within Debt.

Frequently Asked Questions About Liquid Fund

Common questions about this mutual fund category and the data shown on this page.

What are Liquid Fund mutual funds?

Liquid Fund mutual funds are schemes classified under the Debt category. They follow the investment objective and portfolio characteristics associated with this subcategory.

How many Liquid Fund mutual funds are available?

This page currently includes 54 publicly visible Liquid Fund schemes from 42 AMCs.

How are Liquid Fund funds ranked on this page?

Funds are shown using available historical return data. The default listing is ordered by the highest 3-year return, and visitors can sort the supported return columns or apply the available filters.

Does the highest return mean the fund is suitable for every investor?

No. Historical returns alone do not determine suitability. Investors should also consider risk, investment horizon, financial goals, portfolio characteristics and professional advice where appropriate.

When was the fund data last updated?

The latest NAV date currently available for this archive is October 4, 2026. Individual schemes may have different data availability.

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