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Navi Liquid Fund - Direct Plan - Monthly IDCW - Payout

Navi Mutual Fund · Liquid Fund

NAV as of 9 Sept 2026

₹10.0317

1y return
+0.03%
absolute
3y return
−0.02%
CAGR
5y return
−60.18%
CAGR
NAV history
9 Sept 20259 Sept 2026

Low ₹10.014High ₹10.0683

Scheme details

Fund house
Navi Mutual Fund
Category
Debt Scheme - Liquid Fund
Plan
Direct Plan
Option
Monthly IDCW - Payout
AMFI scheme code
119161
ISIN (growth / payout)
INF959L01GG9
ISIN (reinvestment)
INF959L01GH7
52-week high
₹10.0683
52-week low
₹10.014

SIP projection

An illustration only. The rate below is an assumption, not a forecast, and actual returns will differ.

Amount invested
6,00,000
Projected value at 12% p.a.
11,61,695

Other variants of this fund

SchemeNAV1y
Navi Liquid FundDirect · Daily IDCW - ReInvestment₹10.01290.00%
Navi Liquid FundDirect · Unclaimed Redemption and Dividend Plan less than 3 years₹10.000.00%
Navi Liquid FundDirect · Weekly IDCW - Payout₹10.0078+0.02%
Navi Liquid FundRegular · Daily IDCW₹10.1089+0.96%
Navi Liquid FundRegular · Growth₹30.6252+5.80%
Navi Liquid FundRegular · Growth Option₹30.3357+5.74%
Navi Liquid FundRegular · Monthly IDCW₹10.0315+0.03%
Navi Liquid FundRegular · Unclaimed Redemption and Dividend Plan less than 3 years₹30.5228+5.82%

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Mutual fund investments are subject to market risks. Read all scheme related documents carefully before investing. Past performance is not indicative of future returns. NAV data is sourced from AMFI and may be delayed. The Good Wealth is an AMFI-registered mutual fund distributor and does not provide investment advice.

Navi Liquid Fund - Direct Plan - Monthly IDCW - Payout NAV, Returns | The Good Wealth · The Good Wealth