SOLUTIONS
EXPLORE FUNDS
CALCULATORS
fincash number+91-22-48913909Dashboard

Axis Liquid Fund - G

NAV  ₹2,978.73 ↑ 0.40  (0.01 %) as on 3 Dec 25

Scheme Objective

To provide a high level of liquidity with reasonable returns commensurating with low risk through a portfolio of money market and debt securities. However there can be no assurance that the investment objective of the scheme will be achieved.

Axis Liquid Fund is a Debt - Liquid Fund fund launched on 9 Oct 09. It is a fund with Low risk and has given a CAGR return of 7% since its launch.  Ranked 21 in Liquid Fund category.  Return for 2024 was 7.4% , 2023 was 7.1% and 2022 was 4.9% .

Below is the key information for Axis Liquid Fund

NAV as on 3 Dec 25₹2,978.73 ↑ 0.40  (0.01 %)
Net Assets (AUM) as on 31 Oct 2025 ₹35,360 Cr.
Launch Date9 Oct 2009
CategoryDebt - Liquid Fund
Rating
TypeOpen Ended Fund
RiskLow
Yield To Maturity6%
Effective Maturity1 Month 8 Days
Modified Duration1 Month 6 Days
Alpha Ratio0.0
Expense Ratio0.23 %
Sharpe Ratio3.131
Information Ratio0.0
BenchmarkNot Available
ISININF846K01412
AMCAxis Asset Management Company Limited
Min Investment ₹500
Min SIP Investment ₹1,000
Exit Load NIL

Returns

Annual Compounded Returns

Returns up to 1 year are on absolute basis & more than 1 year are on CAGR (Compound Annual Growth Rate) basis. as on 3 Dec 25

DurationReturns
1 Month 0.5%
3 Month 1.4%
6 Month 2.9%
1 Year 6.6%
3 Year 7%
5 Year 5.8%
10 Year
15 Year
Since launch 7%

Historical Annual Returns

Historical performance (Yearly) on absolute basis

YearReturns
2024 7.4%
2023 7.1%
2022 4.9%
2021 3.3%
2020 4.3%
2019 6.6%
2018 7.5%
2017 6.7%
2016 7.6%

Growth of 10k Over Years

DateValue
30 Nov 20₹10,000
30 Nov 21₹10,323
30 Nov 22₹10,797
30 Nov 23₹11,553
30 Nov 24₹12,409
30 Nov 25₹13,234
Axis Liquid Fund Growth 10k Chart

Asset Allocation

Asset ClassValue
Cash99.75%
Debt0%
Other0.25%
Axis Liquid Fund Asset Allocation

Sector Allocation

SectorValue
Cash Equivalent74.19%
Corporate17.6%
Government7.96%
RatingValue
AAA100%
Axis Liquid Fund Debt Allocation

Top Securities Holdings / Portfolio

Holdings/Securities

NameGlobal IndustryHoldingValueQuantity
Clearing Corporation Of India Ltd
CBLO/Reverse Repo | -
9%₹3,438 Cr
India (Republic of)
- | -
4%₹1,497 Cr150,000,000
↑ 150,000,000
Titan Company Limited
Commercial Paper | -
3%₹1,270 Cr25,500
↑ 25,500
Punjab National Bank (18/12/2025) **
Net Current Assets | -
3%₹995 Cr20,000
Bank Of Baroda (18/12/2025) **
Net Current Assets | -
3%₹995 Cr20,000
Small Industries Dev Bank Of India (12/02/2026) **
Net Current Assets | -
3%₹986 Cr20,000
↑ 20,000
Export Import Bank Of India (13/02/2026) **
Net Current Assets | -
3%₹986 Cr20,000
↑ 20,000
91 Days Tbill (Md 29/01/2026)
Sovereign Bonds | -
2%₹940 Cr95,000,000
↓ -5,000,000
HDFC Bank Limited
Certificate of Deposit | -
2%₹821 Cr16,500
Aditya Birla Housing Finance Limited
Commercial Paper | -
2%₹748 Cr15,000
↑ 15,000
1 - 10 of 134
Ready to Invest?
Talk to our investment specialist
Disclaimer:
By submitting this form I authorize Fincash.com to call/SMS/email me about its products and I accept the terms of Privacy Policy and Terms & Conditions.

Fund Managers

NameSinceTenure
Devang Shah5 Nov 1213 Yr.
Aditya Pagaria13 Aug 169.22 Yr.
Sachin Jain3 Jul 232.33 Yr.

Custodians

CompanyAddress
Bank of Nova Scotia12/13, Maker Chamber VI,220, Nariman Point
Deutsche Bank AG1 Great Winchester Street

Registrar & Transfer Agent

KFin Technologies Ltd
Address138 -Suyesh Solitaire, Nr. Podar International School,Kudasan, Gandhinagar, Gujarat
FAXN.A
EmailN.A

Administrator Companies

CompanyAddress
Axis Mutual FundAxis House, 1st Floor, C-2, Wadia International Centre,,Pandurang Budhkar Marg, Worli,

Auditors

CompanyAddress
S. R. BATLIBOI & CoExpress Tower, 6th Floor,Nariman Point,Mumbai

All Plan & Options

Fund and PlanNAV6 Month1 Year3 Year5 Year
Axis Liquid Fund
Growth
₹2,978.73
↑ 0.40
2.92 %6.64 %7.02 %5.77 %
Data as on 3 Dec 25

Disclaimer:
All efforts have been made to ensure the information provided here is accurate. However, no guarantees are made regarding correctness of data.