Your Current Location : Fund Card : Fund Summary |
|
|
|
Nippon India Liquid Fund (D) IDCW |
|
[Debt: Liquid] |
|
|
|
Fund Details |
Fund Type |
Dividend |
Launch Date |
10 Dec 2003 |
Corpus(Cr.) |
32210.0 |
Scheme NAV |
1528.74 |
Equity(%) |
0.0 |
52 Week High |
1529.66 |
Debt(%) |
99.78 |
52 Week Low |
1528.74 |
Others(%) |
0.22 |
Exit Load |
Exit load of 0.0070% if redeemed within 1 day 0.0065% if redeemed within 2 days 0.0060% if redeemed within 3 days 0.0055% if redeemed within 4 days 0.0050% if redeemed within 5 days 0.0045% if redeemed within 6 days. |
Minimum Investment |
- |
Availability |
Open |
Entry Load |
- |
Expense Ratio(%) |
0.32 |
Scheme Benchmark |
CRISIL Liquid Fund Index |
Broader Benchmark |
CRISIL 1 Year T-Bill Index |
|
|
Scheme Objective |
The Scheme seeks to generate optimal returns consistent with moderate levels of risk and high liquidity by investing in debt and money market instruments. |
|
Last 10 Dividends |
Date of Dividend Declaration |
Dividend (Individual) Per Unit(Rs.) |
Dividend (Corporate) Per Unit(Rs.) |
26-11-2024 |
0.27 |
0.25 |
25-11-2024 |
0.30 |
0.28 |
24-11-2024 |
0.56 |
0.52 |
22-11-2024 |
0.27 |
0.25 |
21-11-2024 |
0.25 |
0.23 |
20-11-2024 |
0.28 |
0.26 |
19-11-2024 |
0.31 |
0.28 |
18-11-2024 |
0.27 |
0.25 |
17-11-2024 |
0.84 |
0.78 |
14-11-2024 |
0.29 |
0.27 |
|
|
|
|
|
|
|
|
|
|
|