ICICI Prudential Liquid Fund - Growth

Category: Debt: Liquid
Launch Date: 01-11-2005
Asset Class: Fixed Income
Benchmark: CRISIL Liquid Debt A-I Index
Expense Ratio: 0.29% As on (30-12-2024)
Status: Open Ended Schemes
Minimum Investment: 99.0
Minimum Topup: 1.0
Total Assets: 4,965.3 Cr As on (31-12-2024)
Turn over: -
NAV as on 21-01-2025

375.0253

0.07 (0.0189%)

CAGR Since Inception

7.13%

CRISIL Liquid Debt A-I Index 5.46%

PERFORMANCE of ICICI Prudential Liquid Fund - Growth

Scheme Performance (%)

Data as on - 22-01-2025

Yearly Performance (%)

Fund Managers

Rohan Maru, Nikhil Kabra, Sharmila D'mello, Darshil Dedhia

Investment Objective

The scheme seeks reasonable returns, commensurate with low risk levels while providing a high level of liquidity. Approximately 80 per cent of the corpus would be invested in money market securities, while the balance would be placed in high quality debt instruments.

MONTHLY LUMPSUM RETURNS ( Invested amount 1,00,000)

Show All Monthly Lumpsum Returns
NAV Date NAV Units Market
Value
Returns
(%)
17-11-2005 100.0 1000.0 100000 0.0 %
18-12-2005 100.478 1000.0 100478 0.48 %
17-01-2006 100.947 1000.0 100947 0.95 %
17-02-2006 101.456 1000.0 101456 1.46 %
17-03-2006 101.925 1000.0 101925 1.93 %
17-04-2006 102.517 1000.0 102517 2.52 %
17-05-2006 103.072 1000.0 103072 3.07 %
18-06-2006 103.65 1000.0 103650 3.65 %
17-07-2006 104.189 1000.0 104189 4.19 %
17-08-2006 104.781 1000.0 104781 4.78 %
17-09-2006 105.378 1000.0 105378 5.38 %
17-10-2006 105.98 1000.0 105980 5.98 %
17-11-2006 106.628 1000.0 106628 6.63 %
17-12-2006 107.263 1000.0 107263 7.26 %
17-01-2007 107.974 1000.0 107974 7.97 %
18-02-2007 108.716 1000.0 108716 8.72 %
19-03-2007 109.424 1000.0 109424 9.42 %
17-04-2007 110.337 1000.0 110337 10.34 %
17-05-2007 111.199 1000.0 111199 11.2 %
17-06-2007 111.873 1000.0 111873 11.87 %
17-07-2007 112.591 1000.0 112591 12.59 %
17-08-2007 113.261 1000.0 113261 13.26 %
17-09-2007 114.028 1000.0 114028 14.03 %
17-10-2007 114.773 1000.0 114773 14.77 %
18-11-2007 115.583 1000.0 115583 15.58 %
17-12-2007 116.342 1000.0 116342 16.34 %
17-01-2008 117.165 1000.0 117165 17.16 %
17-02-2008 117.994 1000.0 117994 17.99 %
17-03-2008 118.757 1000.0 118757 18.76 %
17-04-2008 119.641 1000.0 119641 19.64 %
19-05-2008 120.506 1000.0 120506 20.51 %
17-06-2008 121.335 1000.0 121335 21.34 %
17-07-2008 122.228 1000.0 122228 22.23 %
17-08-2008 123.192 1000.0 123192 23.19 %
17-09-2008 124.183 1000.0 124183 24.18 %
17-10-2008 125.229 1000.0 125229 25.23 %
17-11-2008 126.261 1000.0 126261 26.26 %
17-12-2008 127.18 1000.0 127180 27.18 %
18-01-2009 128.108 1000.0 128108 28.11 %
17-02-2009 128.894 1000.0 128894 28.89 %
17-03-2009 129.556 1000.0 129556 29.56 %
17-04-2009 130.264 1000.0 130264 30.26 %
17-05-2009 130.853 1000.0 130853 30.85 %
17-06-2009 131.419 1000.0 131419 31.42 %
17-07-2009 131.991 1000.0 131991 31.99 %
17-08-2009 132.526 1000.0 132526 32.53 %
17-09-2009 133.039 1000.0 133039 33.04 %
19-10-2009 133.568 1000.0 133568 33.57 %
17-11-2009 134.025 1000.0 134025 34.02 %
17-12-2009 134.4867 1000.0 134487 34.49 %
17-01-2010 134.9652 1000.0 134965 34.97 %
17-02-2010 135.4284 1000.0 135428 35.43 %
17-03-2010 135.8484 1000.0 135848 35.85 %
18-04-2010 136.3977 1000.0 136398 36.4 %
17-05-2010 136.9052 1000.0 136905 36.91 %
17-06-2010 137.4707 1000.0 137471 37.47 %
18-07-2010 138.1023 1000.0 138102 38.1 %
17-08-2010 138.727 1000.0 138727 38.73 %
17-09-2010 139.3744 1000.0 139374 39.37 %
17-10-2010 140.099 1000.0 140099 40.1 %
17-11-2010 140.9096 1000.0 140910 40.91 %
17-12-2010 141.712 1000.0 141712 41.71 %
17-01-2011 142.642 1000.0 142642 42.64 %
17-02-2011 143.6131 1000.0 143613 43.61 %
17-03-2011 144.5244 1000.0 144524 44.52 %
17-04-2011 145.5906 1000.0 145591 45.59 %
17-05-2011 146.5963 1000.0 146596 46.6 %
17-06-2011 147.6619 1000.0 147662 47.66 %
17-07-2011 148.7175 1000.0 148718 48.72 %
17-08-2011 149.8254 1000.0 149825 49.83 %
18-09-2011 150.9734 1000.0 150973 50.97 %
17-10-2011 152.0399 1000.0 152040 52.04 %
17-11-2011 153.1948 1000.0 153195 53.2 %
18-12-2011 154.3733 1000.0 154373 54.37 %
17-01-2012 155.5612 1000.0 155561 55.56 %
17-02-2012 156.8052 1000.0 156805 56.81 %
18-03-2012 158.032 1000.0 158032 58.03 %
17-04-2012 159.411 1000.0 159411 59.41 %
17-05-2012 160.7327 1000.0 160733 60.73 %
17-06-2012 162.0658 1000.0 162066 62.07 %
17-07-2012 163.2975 1000.0 163298 63.3 %
17-08-2012 164.5751 1000.0 164575 64.58 %
17-09-2012 165.808 1000.0 165808 65.81 %
17-10-2012 166.9643 1000.0 166964 66.96 %
18-11-2012 168.1947 1000.0 168195 68.19 %
17-12-2012 169.3145 1000.0 169314 69.31 %
17-01-2013 170.5376 1000.0 170538 70.54 %
17-02-2013 171.7463 1000.0 171746 71.75 %
17-03-2013 172.856 1000.0 172856 72.86 %
17-04-2013 174.2456 1000.0 174246 74.25 %
17-05-2013 175.467 1000.0 175467 75.47 %
17-06-2013 176.6911 1000.0 176691 76.69 %
17-07-2013 177.563 1000.0 177563 77.56 %
18-08-2013 178.9941 1000.0 178994 78.99 %
17-09-2013 180.5887 1000.0 180589 80.59 %
17-10-2013 182.1448 1000.0 182145 82.14 %
17-11-2013 183.6279 1000.0 183628 83.63 %
17-12-2013 184.9987 1000.0 184999 85.0 %
17-01-2014 186.4025 1000.0 186402 86.4 %
17-02-2014 187.7711 1000.0 187771 87.77 %
17-03-2014 189.0473 1000.0 189047 89.05 %
17-04-2014 190.6349 1000.0 190635 90.64 %
18-05-2014 192.0854 1000.0 192085 92.08 %
17-06-2014 193.4615 1000.0 193462 93.46 %
17-07-2014 194.8281 1000.0 194828 94.83 %
18-08-2014 196.2735 1000.0 196274 96.27 %
17-09-2014 197.6516 1000.0 197652 97.65 %
17-10-2014 199.0661 1000.0 199066 99.07 %
17-11-2014 200.5237 1000.0 200524 100.52 %
17-12-2014 201.9106 1000.0 201911 101.91 %
18-01-2015 203.4067 1000.0 203407 103.41 %
17-02-2015 204.7999 1000.0 204800 104.8 %
17-03-2015 206.1282 1000.0 206128 106.13 %
17-04-2015 207.7154 1000.0 207715 107.72 %
17-05-2015 209.1394 1000.0 209139 109.14 %
17-06-2015 210.5981 1000.0 210598 110.6 %
17-07-2015 211.9844 1000.0 211984 111.98 %
17-08-2015 213.3905 1000.0 213390 113.39 %
17-09-2015 214.7548 1000.0 214755 114.76 %
18-10-2015 216.1689 1000.0 216169 116.17 %
17-11-2015 217.4939 1000.0 217494 117.49 %
17-12-2015 218.8048 1000.0 218805 118.81 %
17-01-2016 220.2036 1000.0 220204 120.2 %
17-02-2016 221.6064 1000.0 221606 121.61 %
17-03-2016 222.9936 1000.0 222994 122.99 %
17-04-2016 224.7373 1000.0 224737 124.74 %
17-05-2016 226.1915 1000.0 226192 126.19 %
17-06-2016 227.6721 1000.0 227672 127.67 %
17-07-2016 229.0819 1000.0 229082 129.08 %
17-08-2016 230.4525 1000.0 230452 130.45 %
18-09-2016 231.8416 1000.0 231842 131.84 %
17-10-2016 233.1071 1000.0 233107 133.11 %
17-11-2016 234.4846 1000.0 234485 134.49 %
18-12-2016 235.7543 1000.0 235754 135.75 %
17-01-2017 237.003 1000.0 237003 137.0 %
17-02-2017 238.3194 1000.0 238319 138.32 %
17-03-2017 239.515 1000.0 239515 139.51 %
17-04-2017 240.8892 1000.0 240889 140.89 %
17-05-2017 242.1607 1000.0 242161 142.16 %
17-06-2017 243.4857 1000.0 243486 143.49 %
17-07-2017 244.7953 1000.0 244795 144.8 %
17-08-2017 246.1271 1000.0 246127 146.13 %
17-09-2017 247.4305 1000.0 247430 147.43 %
17-10-2017 248.7206 1000.0 248721 148.72 %
17-11-2017 250.0446 1000.0 250045 150.05 %
17-12-2017 251.3215 1000.0 251322 151.32 %
17-01-2018 252.6884 1000.0 252688 152.69 %
17-02-2018 254.0901 1000.0 254090 154.09 %
17-03-2018 255.4941 1000.0 255494 155.49 %
17-04-2018 257.2068 1000.0 257207 157.21 %
17-05-2018 258.5819 1000.0 258582 158.58 %
17-06-2018 260.1612 1000.0 260161 160.16 %
17-07-2018 261.7595 1000.0 261760 161.76 %
17-08-2018 263.3363 1000.0 263336 163.34 %
17-09-2018 264.8916 1000.0 264892 164.89 %
17-10-2018 266.4314 1000.0 266431 166.43 %
17-11-2018 268.147 1000.0 268147 168.15 %
17-12-2018 269.8089 1000.0 269809 169.81 %
17-01-2019 271.4736 1000.0 271474 171.47 %
17-02-2019 273.0774 1000.0 273077 173.08 %
17-03-2019 274.5463 1000.0 274546 174.55 %
17-04-2019 276.3286 1000.0 276329 176.33 %
17-05-2019 277.9502 1000.0 277950 177.95 %
17-06-2019 279.622 1000.0 279622 179.62 %
17-07-2019 281.175 1000.0 281175 181.18 %
17-08-2019 282.6701 1000.0 282670 182.67 %
17-09-2019 284.0449 1000.0 284045 184.04 %
17-10-2019 285.3782 1000.0 285378 185.38 %
17-11-2019 286.6284 1000.0 286628 186.63 %
17-12-2019 287.854 1000.0 287854 187.85 %
17-01-2020 289.0749 1000.0 289075 189.07 %
17-02-2020 290.331 1000.0 290331 190.33 %
17-03-2020 291.5246 1000.0 291525 191.52 %
17-04-2020 293.2578 1000.0 293258 193.26 %
17-05-2020 294.5221 1000.0 294522 194.52 %
17-06-2020 295.5925 1000.0 295592 195.59 %
17-07-2020 296.4752 1000.0 296475 196.47 %
17-08-2020 297.3079 1000.0 297308 197.31 %
17-09-2020 298.0682 1000.0 298068 198.07 %
17-10-2020 298.8951 1000.0 298895 198.9 %
17-11-2020 299.6948 1000.0 299695 199.69 %
17-12-2020 300.3822 1000.0 300382 200.38 %
17-01-2021 301.1065 1000.0 301106 201.11 %
17-02-2021 301.9343 1000.0 301934 201.93 %
17-03-2021 302.608 1000.0 302608 202.61 %
17-04-2021 303.4703 1000.0 303470 203.47 %
17-05-2021 304.226 1000.0 304226 204.23 %
17-06-2021 305.027 1000.0 305027 205.03 %
17-07-2021 305.8726 1000.0 305873 205.87 %
17-08-2021 306.7483 1000.0 306748 206.75 %
17-09-2021 307.559 1000.0 307559 207.56 %
17-10-2021 308.3401 1000.0 308340 208.34 %
17-11-2021 309.1882 1000.0 309188 209.19 %
17-12-2021 310.0144 1000.0 310014 210.01 %
17-01-2022 310.956 1000.0 310956 210.96 %
17-02-2022 311.8405 1000.0 311840 211.84 %
17-03-2022 312.6768 1000.0 312677 212.68 %
17-04-2022 313.6567 1000.0 313657 213.66 %
17-05-2022 314.4262 1000.0 314426 214.43 %
17-06-2022 315.5998 1000.0 315600 215.6 %
17-07-2022 316.8909 1000.0 316891 216.89 %
17-08-2022 318.1807 1000.0 318181 218.18 %
17-09-2022 319.5776 1000.0 319578 219.58 %
17-10-2022 320.9891 1000.0 320989 220.99 %
17-11-2022 322.6708 1000.0 322671 222.67 %
18-12-2022 324.3854 1000.0 324385 224.39 %
17-01-2023 326.1762 1000.0 326176 226.18 %
17-02-2023 327.9166 1000.0 327917 227.92 %
17-03-2023 329.583 1000.0 329583 229.58 %
17-04-2023 331.8136 1000.0 331814 231.81 %
17-05-2023 333.6053 1000.0 333605 233.61 %
17-06-2023 335.5132 1000.0 335513 235.51 %
17-07-2023 337.3673 1000.0 337367 237.37 %
17-08-2023 339.2028 1000.0 339203 239.2 %
17-09-2023 341.1389 1000.0 341139 241.14 %
17-10-2023 343.0248 1000.0 343025 243.03 %
17-11-2023 344.9794 1000.0 344979 244.98 %
17-12-2023 346.9137 1000.0 346914 246.91 %
17-01-2024 349.1406 1000.0 349141 249.14 %
17-02-2024 351.2229 1000.0 351223 251.22 %
17-03-2024 353.2868 1000.0 353287 253.29 %
17-04-2024 355.8046 1000.0 355805 255.81 %
17-05-2024 357.7265 1000.0 357726 257.73 %
17-06-2024 359.8798 1000.0 359880 259.88 %
17-07-2024 361.9914 1000.0 361991 261.99 %
17-08-2024 364.0929 1000.0 364093 264.09 %
17-09-2024 366.1952 1000.0 366195 266.19 %
17-10-2024 368.3749 1000.0 368375 268.38 %
17-11-2024 370.509 1000.0 370509 270.51 %
17-12-2024 372.538 1000.0 372538 272.54 %
17-01-2025 374.7463 1000.0 374746 274.75 %
22-01-2025 375.0854 1000.0 375085 275.08 %

RETURNS CALCULATOR for ICICI Prudential Liquid Fund - Growth

Growth of 10000 In SIP (Fund vs Benchmark)

Amount :
Period :
Start :
End :

Growth of 10000 In LUMPSUM (Fund vs Benchmark)

Amount :
Start :

Rolling Returns

Rolling returns are the annualized returns of the scheme taken for a specified period (rolling returns period) on every day/week/month and taken till the last day of the duration. In this chart we are showing the annualized returns over the rolling returns period on every day from the start date and comparing it with the benchmark. Rolling returns is the best measure of a fund's performance. Trailing returns have a recency bias and point to point returns are specific to the period in consideration. Rolling returns, on the other hand, measures the fund's absolute and relative performance across all timescales, without bias.

Market Cap Distribution

Others

100.06%

Riskometer

Key Performance and Risk Statistics of ICICI Prudential Liquid Fund - Growth

Key Statistics Volatility Sharpe Ratio Alpha Beta Yield to Maturity Average Maturity
ICICI Prudential Liquid Fund - Growth 0.49 0.24 2.1 0.99 7.27 0.15
Debt: Liquid - - - - - -

PEER COMPARISION of ICICI Prudential Liquid Fund - Growth

Amount :
Start :
End :
Period
Data as on - 22-01-2025
Scheme Name Launch
Date
1-Year
Ret (%)
2-Yrs
Ret (%)
3-Yrs
Ret (%)
5-Yrs
Ret (%)
10-Yrs
Ret (%)
ICICI Prudential Liquid Fund - Growth 01-11-2005 7.33 7.18 6.44 5.33 6.3
HSBC Liquid Fund - Growth 04-12-2002 9.28 9.18 7.56 5.61 5.99
BANK OF INDIA Liquid Fund- Regular Plan- Growth 16-07-2008 7.41 7.26 6.54 5.37 6.3
DSP Liquidity Fund - Regular Plan - Growth 20-11-2005 7.36 7.19 6.46 5.33 6.28
Axis Liquid Fund - Regular Plan - Growth Option 05-10-2009 7.35 7.23 6.51 5.39 6.35
LIC MF Liquid Fund-Regular Plan-Growth 13-03-2002 7.35 7.18 6.42 5.33 6.28
Invesco India Liquid Fund - Growth 17-11-2006 7.35 7.19 6.47 5.32 6.29
Canara Robeco Liquid Fund - Regular Plan - Growth Option 05-07-2008 7.34 7.21 6.49 5.25 6.19
Edelweiss Liquid Fund - Regular Plan - Growth Option 20-09-2007 7.33 7.11 6.36 5.26 6.16
Edelweiss Liquid Fund - Retail Plan - Growth Option 21-09-2007 7.33 7.11 6.36 5.25 6.14

PORTFOLIO ANALYSIS of ICICI Prudential Liquid Fund - Growth

Asset Allocation (%)

Allocation Percentage (%)