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    • Taurus Liquid SI (RIDCW-D)

    Formerly Taurus Liquid Super IP Dl DR

    Taurus Mutual Fund

    Taurus Liquid SI (RIDCW-D)

    DebtLiquid

    1013.4375

    NAV (Nov 03)

    4.4%
    3 Year CAGR
    Scripbox Opinion

    Not Reviewed yet

    Our analysis of this fundLearn how we rate funds ->

    Track Record

    12 Years.

    Relative Size

    14 Cr.

    Impact of Interest Rate Changes

    .

    Credit Quality Of Fund's Portfolio

    .

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    Emergency Money

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    Invest in a scientifically curated set of liquid funds which are best aligned towards achieving any objectives where liquidity and stability are the priority.

    • graph-icon-gray
      Historical growth rate of 6.5% per annum
    • graph-icon-gray
      Recommended Duration 1 - 5 years
    • graph-icon-gray
      No Lock-in
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      Emergency

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    Historical NAV

    1013.4375

    NAV (Nov 3)

    Fund Returns

    5%
    Last 1Y
    4.4%
    Last 3Y
    3.8%
    Last 5Y
    5.1%
    Last 10Y
    4.4%
    Since Inception
    info-icon-blue

    Scheme Information

    Investment Objective

    The investment objective of the scheme is to generate steady and reasonable income,with low risk and high level of liquidity from a portfolio of money market securities and high quality debt.

    Low

    Low to Moderate

    Moderate

    Moderately High

    High

    Very High

    risk-indicator-arrow.svg

    Low Risk

    Expense Ratio
    0 %
    Launched (12y ago)
    Jan 23, 2009
    AUM in Crores
    ₹ 14
    ISIN
    INF044D01518
    Lock-in
    No Lock-in
    Benchmark
    SIP Minimum
    ₹ 0
    Lumpsum Min.
    ₹ 100,000
    Fund Managers
    user-avatar

    Fund Manager

    calculator

    Returns Calculator Comparison

    of

    for

    with step up of

    InstrumentReturnsTotal CorpusGainsAnnualised %
    Mutual Fund70%₹ 965,796 ₹ 233,18411.25%
    EPF70% ₹ 900,761 ₹ 168,1498.50%
    Property70% ₹ 867,662 ₹ 135,0507.00%
    PPF70% ₹ 869,819 ₹ 137,2077.10%
    Bank FD70% ₹ 846,471 ₹ 113,8596.00%
    Gold70% ₹ 846,471 ₹ 113,8596.00%
    Savings Bank70% ₹ 825,950 ₹ 93,3385.00%

    Disclaimer: Products compared like fixed deposits may provide fixed guaranteed returns. Mutual Funds investments are subject to market risk, read all scheme related documents carefully before investing. Past performance is not an indicator of future returns.

    build-long-item-wealth-img

    Emergency Money

    Invest in a scientifically curated set of liquid funds which are best aligned towards achieving any objectives where liquidity and stability are the priority.

    • Inflation beating returns
      Inflation beating returns
    • Emergency
      Emergency
    • One click investing  tracking
      One click investing tracking
    comparison

    Comparison with Debt Funds

    Kotak Savings Fund (G)

    Kotak Savings Fund (G)

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    Top Ranked

    17 Years

    Age

    5

    Track Record

    Aditya Birla Sun Life Liquid (G)

    Aditya Birla Sun Life Liquid (G)

    Liquid

    Recommended

    Top Ranked

    17 Years

    Age

    5

    Track Record

    SBI Magnum Ultra Short Duration Fund (G)

    SBI Magnum Ultra Short Duration Fund (G)

    Ultra Short

    Recommended

    Top Ranked

    22 Years

    Age

    5

    Track Record

    Nippon India Liquid Fund (G)

    Nippon India Liquid Fund (G)

    Liquid

    Recommended

    Top Ranked

    18 Years

    Age

    5

    Track Record

    ICICI Prudential Savings Fund (G)

    ICICI Prudential Savings Fund (G)

    Low Duration

    Recommended

    Top Ranked

    19 Years

    Age

    5

    Track Record

    amc-icon

    About the AMC

    Taurus Asset Management Company Limited

    Taurus Asset Management Company Limited manages assets worth 560 crores and was set up on 27 July 1993. It's current offering of mutual fund schemes includes 12 debt and 24 equity funds.

    amc-img

  • tel-amc-about
    022-66242700
  • mail-amc-about
    customercare@taurusmutualfund.com
  • Taurus Tax Shield fund (G)

    Taurus Tax Shield fund (G)

    Tax Saving

    ₹ 83 Cr

    Fund Size

    14.30%

    5 Year CAGR

    5 Y CAGR

    Taurus Nifty Index Fund (G)

    Taurus Nifty Index Fund (G)

    Index Funds

    ₹ 1 Cr

    Fund Size

    15.40%

    5 Year CAGR

    5 Y CAGR

    Taurus Flexi Cap Fund (G)

    Taurus Flexi Cap Fund (G)

    Diversified

    ₹ 269 Cr

    Fund Size

    9.50%

    5 Year CAGR

    5 Y CAGR

    Taurus Tax Shield of Income Distribution cum capital withdrawal fund (PIDCW-A)

    Taurus Tax Shield of Income Distribution cum capital withdrawal fund (PIDCW-A)

    Tax Saving

    ₹ 83 Cr

    Fund Size

    14.30%

    5 Year CAGR

    5 Y CAGR

    Taurus Nifty Index Fund of Income Distribution cum capital withdrawal (RIDCW-A)

    Taurus Nifty Index Fund of Income Distribution cum capital withdrawal (RIDCW-A)

    Index Funds

    ₹ 1 Cr

    Fund Size

    15.40%

    5 Year CAGR

    5 Y CAGR

    growth

    Emergency Money

    Invest in a scientifically curated set of liquid funds which are best aligned towards achieving any objectives where liquidity and stability are the priority.

    • graph-icon-gray
      Historical growth rate of 6.5% per annum
    • graph-icon-gray
      Recommended Duration 1 - 5 years
    • graph-icon-gray
      No Lock-in
    • graph-icon-gray
      Emergency
    • graph-icon-gray
      One-click investing and tracking
    • graph-icon-gray
      Zero fees for all your investments
    Axis Liquid Fund (Growth)

    Axis Liquid Fund (Growth)

    Debt

    Liquid

    Tata Liquid Fund (Growth)

    Tata Liquid Fund (Growth)

    Debt

    Liquid

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    3,600+

    AUM

    2,500+

    Cities

    2012

    Established

    How does Scripbox rate funds?

    Proprietary 4-step system to rate mutual funds

    We use a proprietary system to rate mutual funds and based on that make a recommendation or rate the fund as top ranked.

    What Scripbox recommendations mean?
    Scripbox algorithm recommends 2-4 funds for investment for an investment asset class such as large cap, diversified, liquid etc. When you invest for an objective, the algorithm suggests the appropriate asset class and funds.
    Track Record

    Track Record

    We look at consistent and long historical performance for our analysis.

    Fund Size

    Fund Size

    We look at the size of the fund with respect to other funds in the category. Larger funds are preferred.

    Sub-asset Class View

    Sub-asset Class View

    We check if the sub-category of the fund is recommended by us.

    Fund Performance

    Fund Performance

    Consistency of performance over various tenures is analysed for a relative performance stack.

    Track Record

    Track Record

    We look at consistent and long historical performance for our analysis.

    Fund Size

    Fund Size

    We look at the size of the fund with respect to other funds in the category. Larger funds are preferred.

    Impact of Interest Rates

    Impact of Interest Rates

    We check the relative interest rate risk of the sub-category of the fund. Lower the better.

    Credit Attractiveness

    Credit Attractiveness

    We check the credit quality of the underlying instruments present in the fund. Higher the better.

    Equity Funds

    Debt Funds

    About Taurus Liquid SI (RIDCW-D)

    About Taurus Liquid SI (RIDCW-D)

    Taurus Liquid SI (RIDCW-D) is a Liquid Debt fund and has delivered an annualised return of 4.4% over a period of 12 years. The fund was previously known as Taurus Liquid Super IP Dl DR . The fund is managed by Taurus Asset Management Company Limited. The fund manager’s name is null

    Taurus Liquid SI (RIDCW-D) Investment Objective

    The investment objective of the scheme is to generate steady and reasonable income,with low risk and high level of liquidity from a portfolio of money market securities and high quality debt. . However, there is no assurance that the objective of the scheme will be realized.

    Taurus Liquid SI (RIDCW-D) NAV,AUM,Risk

    The Taurus Liquid SI (RIDCW-D) fund was launched on Jan 23, 2009. The NAV (Net Asset Value) of this Liquid Debt fund as of 2020-11-03 is ₹1013.44. The total AUM (Asset Under Management) of the fund as of 16/09/2021 is ₹13.646. The category risk of the Taurus Liquid SI (RIDCW-D) fund is Low Risk. The fund charges null % as expense ratio.

    Taurus Liquid SI (RIDCW-D) Holdings

    The fund’s highest allocation is towards Others and has invested 100% in this asset class. The top three holdings of the fund are

    Taurus Liquid SI (RIDCW-D) Sip

    The minimum SIP (Systematic Investment Plan) amount for this is ₹null and you can increase this in multiples of ₹ 100. In case you want to invest a lump sum, the minimum amount to be invested is ₹ 100000.

    Taurus Liquid SI (RIDCW-D) Investment volatility and Horizon

    This fund is suited for investors looking to invest for 1-4 years. The asset class is less volatile than equity and the fund is likely to provide stable but slow growth. The fund is benchmarked to null.

    Taurus Liquid SI (RIDCW-D) Review

    Taurus Liquid SI (RIDCW-D) has a score of 0 on a scale of 5. The fund has a score of 0 out of 5 based on historical performance. As compared to the other funds in its category, Taurus Liquid SI (RIDCW-D) has a score of 0out of 5 The credit risk of the fund is 0 out of 5 as compared to other debt funds.

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