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Franklin India Liquid Fund - IDCW - Weekly

  • Regular
  • Direct
Category : Liquid Fund
  • NAV
    : ₹ 1244.8048 0.01%
    (as on 15th October, 2025)
Crisil Rating

Not Rated

Rank not available for the fund
Risk-O-Meter
Low to Moderate Risk

The fund has 115.63% investment in Debt, of which 23.08% in Government securities, 92.53% is in Low Risk securities.

Suitable For : Investors who want to invest for very short term and are looking for alternative to bank accounts/deposits.

This Scheme
VS
  • NIFTY Liquid Index A-I
  • NA
  • NA
  • Gold
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Returns (NAV as on 15th October, 2025)

Period Invested for ₹10000 Invested on Latest Value Absolute Returns Annualised Returns Category Avg Rank within Category
1 Week 08-Oct-25 10000.00 - - 0.10% 20/21
1 Month 15-Sep-25 10034.60 0.35% - 0.48% 20/21
3 Month 15-Jul-25 10117.80 1.18% - 1.39% 20/21
6 Month 15-Apr-25 10260.30 2.60% - 2.96% 20/21
YTD 01-Jan-25 10462.50 4.62% - 5.14% 20/21
1 Year 15-Oct-24 10602.80 6.03% 6.03% 6.65% 20/21
2 Year 15-Oct-23 11309.40 13.09% 6.34% 6.94% 21/21
3 Year 14-Oct-22 11953.00 19.53% 6.12% 6.88% 21/21
5 Year 15-Oct-20 12626.10 26.26% 4.77% 5.52% 21/21
10 Year 15-Oct-15 14912.90 49.13% 4.07% 6.00% 19/21
Since Inception 29-Apr-98 42582.40 325.82% 5.41% 6.60% 12/20

SIP Returns (NAV as on 15th October, 2025)

Period Invested for ₹1000 SIP Started on Investments Latest Value Absolute Returns Annualised Returns
1 Year 15-Oct-24 12000 12372.33 3.1 % 5.79 %
2 Year 15-Oct-23 24000 25542.65 6.43 % 6.1 %
3 Year 14-Oct-22 36000 39548.86 9.86 % 6.19 %
5 Year 15-Oct-20 60000 69224.98 15.37 % 5.65 %
10 Year 15-Oct-15 120000 151192.33 25.99 % 4.52 %
 

Tax Treatment

Any profit will be clubbed with your income and taxed at your effective tax rate.

Portfolio (Updated on 30th Sep,2025)

No of Debt Holding 32 (Category Avg - 64.50) | Modified Duration 0.11 Years (Category Avg - 0.13)| Yield to Maturity 5.97% (Category Avg - 5.94%)

Type of Holdings

Security Type
% Weight
Category Average
GOI 0.00% 0.67%
CD 28.22% 36.56%
T-Bills 23.08% 18.69%
NCD & Bonds 11.55% 4.83%
CP 52.76% 42.16%

Investment / Portfolio Grades

Security Type
% Weight
Category Average
Government Backed 23.08% 19.36%
Low Risk 92.53% 83.45%
Moderate Risk 0.00% 0.00%
High Risk 0.00% 0.00%
Very High Risk 0.00% 0.00%
Others 0.00% 0.00%
Name Type of Instrument Weight (%)
Net Receivables Net Receivables 0.43%
Reverse Repo Reverse Repo -16.06%

Risk Ratios

Ratios calculated on daily returns for last 3 years (Updated as on 30th September, 2025)

  • Standard Deviation

    High volatility
    0.15vs0.13
    Category Avg
  • Beta

    High volatility
    1.49vs1.27
    Category Avg
  • Treynor's Ratio

    Better risk adjusted returns
    0.01vs0.01
    Category Avg
  • Jensen's Alpha

    Poor risk adjusted returns
    -0.21vs-0.2
    Category Avg

Alternative Funds (Category Peers)

Scheme Name
Crisil Rank
Asset Size (Cr)
1M
3M
6M
1Y
3Y
Aditya Birla Sun Life Liquid Fund - Discipline Advantage Plan NA 49803.08 0.53 1.59 3.28 7.16 7.30
Sundaram Liquid Fund - Direct Plan - Growth (Adjusted NAV) NA 7481.60 0.49 1.44 3.04 6.88 7.11
HSBC Liquid Fund - Direct Plan - Growth (Adjusted NAV) NA 14759.34 0.49 1.43 3.05 6.85 7.10
Baroda BNP Paribas Liquid Fund - Direct Plan - Growth (Adjusted NAV) NA 7889.81 0.49 1.43 3.02 6.80 7.08
LIC MF Liquid Fund - Direct Plan - Growth (Adjusted NAV) NA 11402.57 0.49 1.44 3.04 6.80 7.07
Edelweiss Liquid Fund - Retail Plan - Growth NA 8130.21 0.49 1.43 3.03 6.77 6.95
Aditya Birla Sun Life Liquid Fund - INSTITUTIONAL - Growth 3 49803.08 0.48 1.41 3.00 6.75 7.02
Aditya Birla Sun Life Liquid Fund - Retail - Growth 3 49803.08 0.48 1.41 3.00 6.75 7.02
HSBC Liquid Fund - Growth 2 14759.34 0.49 1.40 3.00 6.74 6.98
HSBC Liquid Fund - Regular Plan - Growth (Adjusted NAV) NA 14759.34 0.49 1.40 3.00 6.74 7.00

More Funds from Franklin Templeton Mutual Fund

Out of 1 mutual fund schemes offered by this AMC, 1 is/are ranked 2 * , and 0 schemes are not ranked. See more about AMC

Scheme Name
Crisil Rank
Asset Size (Cr)
1M
3M
6M
1Y
3Y
Franklin India Liquid Fund - Growth 2 2630.59 0.44 1.27 2.70 6.12 6.31

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