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Bajaj Finserv Liquid Fund

Bajaj Finserv Mutual FundDirectOpen-endedLiquid FundRiskometer: Low to Moderate Risk

NAV

₹1,244.93

as of 6 Oct 2026

Bajaj Finserv Liquid Fund is an open-ended Liquid Fund scheme from Bajaj Finserv Mutual Fund managing ₹8,589 crore (as of 31 Aug 2026). Its Direct-plan NAV is ₹1,244.93 as of 6 Oct 2026. The expense ratio is 0.08% a year. Managed by Nimesh Chandan. This page is factual data only – it carries no rating and no recommendation.

Key facts

Expense ratio
0.08% / yr
as of 31 Aug 2026
Fund size
₹8,589 crore
as of 31 Aug 2026
Exit load
0.01%
SIP available
Yes
Launched
5 Jul 2023
ISIN
INF0QA701011

₹100 invested, fund vs category

The category line is the average of the funds in this category, built from nyvo’s own NAV data.

Rebased to 100data to 5 Oct 2026

Jul 2023Oct 2026
Growth of ₹100, Bajaj Finserv Liquid Fund versus Liquid Fund average.

Bajaj Finserv Liquid Fund

₹124

+24% on ₹100 over 3.3 yrs

Liquid Fund average

₹120

+20% on ₹100 over 3.3 yrs

Returns vs category

WindowFundCategory avgGap
3 months1.55%––
6 months3.22%––
1 year6.50%––
3 years (CAGR)6.96%––

No category average is available for this fund. Short windows are noise; the 3 and 5-year rows are the record. Past returns do not predict future returns.

Risk, measured

Sharpe ratio (3Y)
3.16
Sortino ratio (3Y)
36.54 vs category 12.71
Standard deviation (3Y)
0.20%

Where the money actually is

Cash

99.8%

Other

0.2%

Whole-portfolio split, as of 31 Aug 2026.

What it owns

91 positions · top 10 = 33.6%

Top holdings

  • Clearing Corporation Of India Ltd8.73%
  • India (Republic of)matures 29 Oct 20265.77%
  • India (Republic of)matures 27 Nov 20263.45%
  • Net Receivables / (Payables)3.32%
  • Indian Bankmatures 30 Oct 20262.59%
  • Export-Import Bank Of Indiamatures 7 Sep 20262.33%
  • HDFC Bank Limited2.01%
  • Tbillmatures 2 Oct 20261.91%
  • Indian Railway Finance Corporation Limitedmatures 15 Oct 20261.75%
  • Punjab National Bank Redmatures 15 Sep 20261.74%

Holdings as of 31 Aug 2026. Portfolio turnover 1010.6% a year.

Exposure figures are gross: funds that use derivatives (arbitrage, hedged books) hold offsetting positions, so concentration and turnover can read above 100%.

The debt it holds

Yield to maturity
6.22% vs category 6.30%
Modified duration
37 days vs category 62 days
Average maturity
39 days vs category 63 days
Government securities
11.8%

Credit quality

AAA
100.0%

Government securities are counted inside AAA by the data provider’s ladder; the sovereign share is listed separately above. Credit quality as of 31 Jul 2026.

Portfolio characteristics as of 31 Aug 2026. Yield to maturity is what the portfolio would return if every holding were held to maturity and paid in full. It is not a forecast of the fund’s return, and it is quoted before expenses.

Money in, money out

Net flow, 12 months
+₹3,162 cr
Net flow, 3 months
+₹2,511 cr

as of 31 Aug 2026. Flows follow performance more than they predict it.

Quick answers

What is the NAV of Bajaj Finserv Liquid Fund?
₹1,244.93 per unit as of 6 Oct 2026 (Direct plan, growth). NAV is declared daily on working days.
What is the expense ratio of Bajaj Finserv Liquid Fund?
0.08% a year for the Direct plan, as of 31 Aug 2026.
How large is Bajaj Finserv Liquid Fund?
₹8,589 crore under management as of 31 Aug 2026, in the Liquid Fund category.
How risky is Bajaj Finserv Liquid Fund?
Its SEBI Riskometer reading is "Low to Moderate Risk". Parking money for days to months. Much of it is corporate treasuries, not households.
What is the worst 3-year return of Bajaj Finserv Liquid Fund?
7.0% a year – the weakest of 4 overlapping 3-year holding periods, beginning 2 Oct 2023. The median was 7.0% and 100% of those windows ended positive. Windows overlap, so this is the range of past start dates, not a probability.
Who manages Bajaj Finserv Liquid Fund?
Nimesh Chandan, managing this fund for 3.2 years.

Where this fund sits

Other Liquid Fund funds

Data: nyvo research systems; each block above states its own as-of date, and blocks with no data for this fund are omitted rather than estimated. NAV updates daily on working days. This page is factual information about one scheme. It is not investment advice, not a recommendation, and it carries no rating of any kind. Past performance does not predict future returns. Mutual fund investments are subject to market risks; read all scheme related documents carefully.