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Motilal Oswal Liquid Fund Regular-Growth

Motilal Oswal Liquid Fund Regular-Growth

Debt: LiquidLow to Moderate Risk
PaisaSmartPaisaSmart rating★★★★★★★★★★2

The fund is rated 2 stars. Considered together, the fund's latest one-year return of 6.14% and annual fee of 0.41% place it behind most similar funds.

Why this rating

This fund's 2.0 star rating reflects 1-Year Rolling Return of 6.138% and Expense Ratio of 0.41%, key parameters in our evaluation.

Our score weighs long-term performance, risk and consistency — not just past returns.

Returns

As of 7 Oct 2026

1W
+0.12%
1M
+0.42%
3M
+1.42%
6M
+2.92%
9M
+4.47%
1Y
+5.91%
2Y
+6.08%
3Y
+6.36%
4Y
+6.36%
5Y
+5.83%
7Y
+5.11%
Since launch
+5.18%

Risk ratios

As of 30 Sep 2026

Standard deviation
0.19
Sharpe ratio
2.96
Sortino ratio
5.78
Beta
0.20
Alpha
0.50
R-squared
0.33
Treynor ratio
0.61
Information ratio
4.50
Mean
6.20

Debt metrics

Average maturity
0.12 yrs
Duration
0.11 yrs
Macaulay duration
0.12 yrs
Yield to maturity
6.02%

Portfolio

As of 30 Sep 2026

Holdings (23)

Holding% of fundValueShares
Reserve Bank of IndiaMaturity 91-D 08/10/2026 · Rating SOV9.83%₹99.9 Cr1,00,00,000
Reserve Bank of IndiaMaturity 91-D 10/12/2026 · Rating SOV9.74%₹98.98 Cr1,00,00,000
Bajaj Finance Ltd.Maturity 91-D 19/10/2026 · Rating CRISIL A1+4.91%₹49.84 Cr50,00,000
Poonawalla Fincorp Ltd.Maturity 89-D 19/10/2026 · Rating CRISIL A1+4.91%₹49.84 Cr50,00,000
Reserve Bank of IndiaMaturity 364-D 06/11/2026 · Rating SOV4.90%₹49.74 Cr50,00,000
Export-Import Bank Of IndiaMaturity 11/11/2026 · Rating CRISIL A1+4.89%₹49.66 Cr50,00,000
National Bank For Agriculture & Rural DevelopmentMaturity 10/11/2026 · Rating FITCH A1+4.89%₹49.67 Cr50,00,000
Bank Of BarodaMaturity 06/11/2026 · Rating FITCH A1+4.89%₹49.7 Cr50,00,000
HDFC Bank Ltd.Maturity 06/11/2026 · Rating CARE A1+4.89%₹49.7 Cr50,00,000
Canara BankMaturity 23/11/2026 · Rating CRISIL A1+4.88%₹49.55 Cr50,00,000

Fund details

In brief

Regular income over short term. Investment in money market securities.

Investment objective

The Scheme seeks to generate optimal returns with high liquidity to the investors through a portfolio of money market securities.

Exit load

Exit load of 0.0070% if redeemed within 1 day, 0.0065% if redeemed within 2 days, 0.0060% if redeemed within 3 days, 0.0055% if redeemed within 4 days, 0.0050% if redeemed within 5 days, 0.0045% if redeemed within 6 days.

Fund type
Open-ended
Min lumpsum
₹500
Min withdrawal
₹500
Lock-in
None
SIP
Available
SWP
Available
STP
Available
Purchase cut-off
13:30
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