Motilal Oswal Liquid Fund-Reg(G) 
                                                    Debt | Low to Moderate | Debt - Liquid Fund  | 
                                                
                                                    14.05  
                                                    
                                                    +0.00 NAV(₹) as on 3/11/2025  | 
                                                
                                                    
                                                    0.02% 1D  | 
                                                
                                                    
                                                    6.18% 1Y  | 
                                                
                                                    
                                                    6.51% 3Y  | 
                                                
                                                    
                                                    5.26% 5Y  | 
                                                
                                                
                                            
| Scheme Details | |
|---|---|
| Expense Ratio: 0.37  | 
                                    Launch Date:
                                         19 Dec 2018  | 
                                
| Exit Load: 0.007% for Day 1, 0.0065% on Day 2, 0.0060% on Day 3, 0.0055% on Day 4, 0.0050% on Day 5, 0.0045% on Day 6, NIL on or after 7D  | 
                                    AUM:
                                         ₹ 1,210.87 Crs  | 
                                
| Lock-in: Nil  | 
                                    Investing Style:
                                         NA  | 
                                
| Portfolio Price To Book Value: NA  | 
                                    Min. Investment: SIP : ₹ 500.0 Lumpsum : ₹ 500.0  | 
                                
| Scheme Benchmark: NA  | 
                                |
| Fund Manager: Rakesh Shetty  | 
                                |
The investment objective of the Scheme is to generate optimal returns with high liquidity to the investors through a portfolio of money market securities.However, there can be no assurance or guarantee that the investment objective of the scheme would be achieved.
| LATEST ASSET & PORTFOLIO ALLOCATION | Others | Debt | |||
|---|---|---|---|---|---|
| as on 30/9/2025 | 6.81 % | 93.19 % | 
Average Maturity
Modified Duration
Yield to Maturity
0.11 (in years)
0.1 (in years)
5.82 %
| Financial Year | 2020-21 | 2021-22 | 2022-23 | 2023-24 | 2024-25 | 
|---|---|---|---|---|---|
| NAV (31/3/2025) | 11.00 | 11.34 | 11.92 | 12.73 | 13.59 | 
| Net Assets (Rs Crores) | 75,111.43 | 61,857.05 | 43,575.05 | 52,825.39 | 98,851.88 | 
| Scheme Returns(%)(Absolute) | 2.97 | 3.02 | 5.14 | 6.73 | 6.78 | 
| B'mark Returns(%)(Absolute) | NA | NA | NA | NA | NA | 
| Category Rank | 37/43 | 37/43 | 36/40 | 35/38 | 36/38 | 
                        
                    | Fund Details | Inception Date | Aum(₹ Crs) | 1Y | 3Y | 5Y | Since Inception | 
|---|---|---|---|---|---|---|
| 
                                             | 
                                        5/7/2023 | ₹ 5,196.19 | 6.58% | - | - | 6.92% | 
| 
                                             | 
                                        14/11/2024 | ₹ 242.34 | - | - | - | 6.37% | 
| 
                                             | 
                                        11/6/2025 | ₹ 226.45 | - | - | - | 5.99% | 
| 
                                             | 
                                        30/4/1998 | ₹ 2,630.59 | 6.06% | 6.30% | 5.00% | 6.73% | 
| 
                                             | 
                                        18/3/1998 | ₹ 27,071.82 | 6.02% | 6.33% | 5.01% | 6.53% | 
| 
                                             | 
                                        19/11/2006 | ₹ 11,971.43 | 6.13% | 6.43% | 5.12% | 6.38% | 
| 
                                             | 
                                        14/9/2020 | ₹ 1,286.48 | 4.93% | 6.44% | 5.64% | 5.63% | 
| 
                                             | 
                                        2/3/2010 | ₹ 28,170.15 | 6.21% | 6.50% | 5.19% | 6.56% | 
| 
                                             | 
                                        19/12/2018 | ₹ 1,226.25 | 6.18% | 6.51% | 5.26% | 5.07% | 
| 
                                             | 
                                        11/5/2018 | ₹ 3,866.94 | 6.38% | 6.61% | 5.38% | 5.34% |