NIPPON INDIA CONSERVATI…₹3.84237.03% NIPPON INDIA EQUITY SAV…₹0.65126.00% NIPPON INDIA TAIWAN EQU…₹33.872.96% INVESCO INDIA GOLD ETF₹42.682.72% NIPPON INDIA NIFTY REAL…₹8.422.57% TATA NIFTY REALTY INDEX₹9.272.57% QUANTUM GOLD ETF₹57.722.54% UNION GOLD ETF₹17.382.48% AXIS GOLD₹44.112.42% BANDHAN GOLD ETF₹9.972.34% NIPPON INDIA CONSERVATI…₹3.84237.03% NIPPON INDIA EQUITY SAV…₹0.65126.00% NIPPON INDIA TAIWAN EQU…₹33.872.96% INVESCO INDIA GOLD ETF₹42.682.72% NIPPON INDIA NIFTY REAL…₹8.422.57% TATA NIFTY REALTY INDEX₹9.272.57% QUANTUM GOLD ETF₹57.722.54% UNION GOLD ETF₹17.382.48% AXIS GOLD₹44.112.42% BANDHAN GOLD ETF₹9.972.34%
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GFS » Mutual Fund » Liquid » Capitalmind Liquid Fund
Published NAVNAV published by the AMC, sourced from AMFI
999.031017103510531 Dec 20253 Sep 2026
Change+4.8%change over the window — not annualised
Low / high₹1,001.94 / ₹1,050.401 Dec 2025 · 3 Sep 2026
Last print+0.04%2 Sep 2026 → 3 Sep 2026
Prints228published NAVs, AMFI · axis does not start at zero

Returns

NAV and returns as at 03 Sept 2026
Lumpsum · point to point
1W +0.16%
1M +0.54%
3M +1.64%
6M +3.3%
YTD +4.32%
1Y
2Y CAGR
3Y CAGR
5Y CAGR
10Y CAGR
SIP · XIRR on monthly instalments
6M SIP +6.6%
1Y SIP
2Y SIP
3Y SIP
5Y SIP
10Y SIP
Full history SIP +6.56%
Periods up to one year are absolute; longer periods are annualised (CAGR). SIP figures are the XIRR of a fixed monthly instalment over the same window. — means this scheme’s NAV history does not cover that period — across all 1648 schemes, 68.3% have a 3-year figure, 49% a 5-year one, and 32.2% a 10-year one.

Returns vs category

Average is the mean of every Liquid Fund scheme in this dataset that discloses the period — 38 schemes at 1Y, 36 at 3Y, 33 at 5Y. Returns beyond one year are annualised.

Top holdings

as at 31 Jul 2026 · source: AMC monthly portfolio disclosure
6.97% Government of India (06/09/2026)Sovereign 9.98%
7.98% Bajaj Housing Finance Limited (09/09/2026) **CRISIL AAA 4.99%
9.10% Manappuram Finance Limited (19/08/2026) **CRISIL AA 4.99%
7.70% REC Limited (31/08/2026) **ICRA AAA 4.99%
8.28% SMFG India Credit Company Limited (05/08/2026) **ICRA AAA 4.98%
6.72% IndiGrid Infrastructure Trust (14/09/2026) **CRISIL AAA 4.98%
Kisetsu Saison Fin Ind Pvt Ltd (27/08/2026) **CRISIL A1+ 4.96%
91 Days Tbill (MD 03/09/2026)Sovereign 4.96%
Indian Bank (10/09/2026) ** #CRISIL A1+ 4.95%
HDFC Bank Limited (10/09/2026) #CRISIL A1+ 4.95%
Top 10 54.73%Securities 20Securities total 95.36%Cash & equivalents 4.64%
The ten largest securities by weight, out of 20 disclosed. Weight is percent of net assets as filed. Cash-equivalent lines (TREPS, reverse repo, net receivables, margin) and derivative legs are counted in the chips above but not ranked among securities, because a short futures leg is filed as a negative weight and sorting it alongside a shareholding describes no portfolio. A portfolio is a point-in-time filing and changes every month.

Risk

Volatility · annualised · 9 months
0.21%
Max drawdown · 9 months
-0.01%
Sharpe ratio
0.49
SEBI riskometer
Moderately Low
Volatility is the annualised standard deviation of daily NAV moves over the 9 months of NAV history this scheme has, 01 Dec 2025 to 03 Sept 2026; max drawdown is the deepest peak-to-trough fall in that same window. Where a scheme has less than three years of NAV, the window is what it actually has and is labelled as such — never as three years. Sharpe is as disclosed in the scheme key-ratio feed (as at 26 July 2026).
Beta and alpha are not shown. No benchmark series in the source.

Cost

Expense ratio0.11%
Category average0.2%
Exit load0.007%
52W high / low₹1050.4046 / ₹1001.9357
Expense ratio 0.11% vs a category average of 0.2% — 0.09 percentage points lower. Among Liquid Fund schemes disclosing an expense ratio it is 12th of 37, cheapest first.
Expense ratio and category average are as disclosed against this scheme in the source; 78.5% of schemes here carry one. The ratio is charged inside the NAV, so every return on this page is already net of it.

Scheme facts

SEBI sub-category Liquid Fund
Plan / option Regular Growth
Benchmark Nifty Liquid Fund Index
Fund manager Prateek Jain, Anoop Vijaykumar
Launched 18 Nov 2025
NAV history here 8m
ISIN INF226401034
AMFI scheme code 154010
SEBI riskometer Moderately Low
Exit load 0.007%
Lock-in None
Minimum lumpsum ₹5,000
Exit load, as disclosed: 0.007% for Day 1 · 0.0065% on Day 2 · 0.0060% on Day 3 · 0.0055% on Day 4 · 0.0050% on Day 5 · 0.0045% on Day 6 · NIL on or after 7D
Not shown on this page, and why
Star ratingGFS is an AMFI-registered distributor (ARN-169480), not a SEBI-registered investment adviser. It does not rate schemes.
Scheme AUMScheme-level AUM is not in the source; only AMC-total AUM, which is a different number.
Minimum SIPNot present in the source.
Beta and alphaNo benchmark series in the source.

General SIP calculator

A general SIP illustration: your monthly amount grown at the annual rate you set below, compounded monthly. The rate is your assumption — it is not this scheme’s past return, not a forecast of it, and mutual fund returns are not assured.
Monthly SIP₹10,000
Tenure10 years
Assumed annual return12%
Invested₹12,00,000
Est. gain₹11,23,391
Total value₹23,23,391