Compiled by Rupeestop LLP, SEBI RIA INA000022701. NAV as on 19 Aug 2026. Factsheet Jun 2026. About · Disclosures
Parag Parikh Liquid Fund - Regular Plan Weekly - IDCW Reinvestment
PPFAS Mutual Fund₹1,001.3293
As on 19 Aug 2026
Vs category
| Period | This fund | Category | Rank |
|---|---|---|---|
| 1 year | +0.02% | — | — |
| 3 year | -0.02% | — | — |
| 5 year | +0.00% | — | — |
- Sharpe
- -0.79
- Std dev
- 0.54%
- Beta
- 2.53
Returns
From NAVs through 19 Aug 2026
Calendar years
Rolling 1-year · 48 overlapping windows
Fund facts
Fund details from the Jun 2026 factsheet
Where the money is invested
Split by asset type.
By asset type
What the fund holds
39 holdings · portfolio as on 14 Jun 2026
- 8.05%Trp_160626
- 4.46%Small Industries Dev Bank of India
- 4.4%Export-Import Bank of India
- 3.96%Tata Capital Ltd.
- 3.54%National Bank for Financing Infrastructure & Development
- 3.52%Bharti Telecom Ltd.
- 3.51%HDFC Bank Limited
- 2.68%National Bank for Agriculture and Rural Development
- 2.68%Bajaj Finance Limited
- 2.64%Icici Securities Limited
Concentration
Risk and quality measures
How steady the returns have been.
Return quality
Risk
Who manages this fund
3 fund managers
- MKMansi Kariya2.2 years in the industryRuns 6 schemes
- TSTejas Soman2.2 years in the industryRuns 16 schemes
- ADAishwarya Dhar0.5 years in the industryRuns 5 schemes
Other Liquid funds
Unifi Liquid FunddirectCompare
Abakkus Liquid FunddirectCompare
Capitalmind Liquid FunddirectCompare
Jioblackrock Liquid FunddirectCompare
SBI Nifty 1d Rate Liquid ETFdirectCompare
HDFC Nifty 1d Rate Liquid ETFdirectCompare
SBI Liquid Fund Direct GrowthdirectCompare
Axis Liquid Fund - Direct GrowthdirectCompare
SIP illustration
₹5,000/mo × 10 years at this fund's 3Y CAGR. Illustration, not a forecast. SIP calculator
Other versions
- regularGrowthParag Parikh Liquid Fund-Regular Plan-GrowthNAV ₹1,484.2259
- regularmonthly idcw payoutParag Parikh Liquid Fund-Regular Plan-Monthly - IDCW PayoutNAV ₹1,005.0115
- directGrowthParag Parikh Liquid Fund-Direct Plan-GrowthNAV ₹1,495.6333
- directmonthly idcw reinvestmentParag Parikh Liquid Fund-Direct Plan-Monthly - IDCW PayoutNAV ₹1,005.0469
- directweekly idcw reinvestmentParag Parikh Liquid Fund - Direct Plan Weekly - IDCW ReinvestmentNAV ₹1,001.9948
- regulardaily idcw reinvestmentParag Parikh Liquid Fund - Regular Plan Daily - IDCW ReinvestmentNAV ₹1,000.5404
- directdaily idcw reinvestmentParag Parikh Liquid Fund - Direct Plan Daily - IDCW ReinvestmentNAV ₹1,000.5405
FAQ
What is Parag Parikh Liquid Fund - Regular Plan Weekly - IDCW Reinvestment NAV today?
- The latest NAV of Parag Parikh Liquid Fund - Regular Plan Weekly - IDCW Reinvestment is ₹1,001.3293 as on 19 Aug 2026.
How has Parag Parikh Liquid Fund - Regular Plan Weekly - IDCW Reinvestment performed vs its category?
- 1-year return +0.02%. Past performance does not guarantee future returns.
What are the returns of Parag Parikh Liquid Fund - Regular Plan Weekly - IDCW Reinvestment?
- Trailing returns from published NAVs: 1 year +0.02%, 3 year -0.02% a year, 5 year +0.00% a year, since our first NAV 0.00% a year. Past performance does not guarantee future returns.
How would a SIP in Parag Parikh Liquid Fund - Regular Plan Weekly - IDCW Reinvestment have been illustrated?
- The SIP illustration on this page uses ₹5,000 a month for 10 years at this fund's 3-year annualised return of -0.02%. It is not a forecast.
What is the expense ratio and fund size of Parag Parikh Liquid Fund - Regular Plan Weekly - IDCW Reinvestment?
- For Parag Parikh Liquid Fund - Regular Plan Weekly - IDCW Reinvestment, the expense ratio is 0.17% and fund size (AUM) is ₹5523.65 Cr.
What is the ISIN of Parag Parikh Liquid Fund - Regular Plan Weekly - IDCW Reinvestment?
- The ISIN for Parag Parikh Liquid Fund - Regular Plan Weekly - IDCW Reinvestment is INF879O01142.
Mutual fund investments are subject to market risks. Read all scheme related documents carefully before investing. Past performance does not guarantee future returns and is not an indicator of future results.
Figures on this page come from published NAVs and the scheme's monthly factsheet. They are for information only and are not investment advice or a recommendation to buy or sell any scheme.
