All Funds
IncomeMirae Asset Mutual Fund
Mirae Asset Liquid Fund- Regular Plan - Daily Dividend
₹1168.6935▲ 0.3135 (0.03%)
Scheme Type
Open Ended Schemes
Category
Income
Fund House
Mirae Asset Mutual Fund
ISIN
N/A
Data Points
1638 NAV records
NAV as of 30-07-2013
NAV History
+9.02%365 data points · Period:1Y
Returns
CAGR1M
—
3M
—
6M
—
1Y
—
3Y
—
5Y
—
Returns over 1Y are annualized (CAGR). Past performance ≠ future results.
Growth of ₹10,000
Hypothetical1Y Ago
₹10,902
+9.0%
3Y Ago
₹12,437
+24.4%
5Y Ago
—
Past performance ≠ future results
Fund Analytics
Metrics not yet computed. Data will appear after the next sync cycle.
vs Nifty 50
Nifty BeES ETFLoading index data...
Benchmark: Nippon India ETF Nifty BeES. Alpha = Fund CAGR − Index CAGR.
SIP Calculator
Auto-filled₹500₹1L
Period
Return (%)•
Invested
₹3,00,000
Wealth Gained
₹69,834
Total Value
₹3,69,834
*Based on historical CAGR. Projections are illustrative, not guaranteed