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HSBC Liquid Fund

HSBC Mutual Fund · Liquid · Regular plan, growth option

NAV (₹), 2 Oct 2026
4,053.7454
1-day change
0.04%
1Y return
6.4%
3Y CAGR
6.8%
5Y CAGR
6.1%
Max drawdown, 5Y
0.0%
NAV history month-end NAV, ₹ · 30 Dec 2012 to 1 Oct 2026
1,7992,9264,0542013201520172019202120232025
Returns vs Liquid median (73 schemes)
PeriodSchemeCategory median
1 month0.5%0.5%
3 months1.5%1.5%
6 months3.4%3.3%
Year to date4.9%4.8%
1 year6.4%6.3%
3 years (CAGR)6.8%6.8%
5 years (CAGR)6.1%6.2%
7 years (CAGR)5.2%5.5%
10 years (CAGR)5.5%6.0%
Since first NAV (CAGR)6.1%–
Rolling returns every business-day start date
MeasureSchemeCategory median
1Y rolling median6.5%6.7%
3Y rolling median6.2%6.6%
3Y rolling worst3.1%3.9%
3Y periods positive100%100%
3Y periods ahead of benchmarkn/an/a
5Y rolling median5.2%6.2%
5Y rolling worst4.4%5.1%
5Y periods ahead of benchmarkn/an/a

Benchmark: none available in MFIC's free data for this category.

Risk 36 months, monthly returns, Rf 6.5%
MeasureSchemeCategory median
Standard deviation (ann.)0.4%0.4%
Sharpe ratio0.410.22
Sortino ratio0.500.24
Betan/an/a
Alpha (ann.)n/an/a
Upside capturen/an/a
Downside capturen/an/a
Drawdowns peak-to-trough falls in NAV
MeasureSchemeCategory median
Maximum drawdown, full history−0.3%−0.2%
Maximum drawdown, last 10Y−0.3%−0.2%
Maximum drawdown, last 5Y0.0%0.0%
Current drawdown0.0%0.0%
Recovery time of worst falln/a–

Longer histories include more crises, so compare the 5Y and 10Y figures across schemes of different ages.

Calendar-year returns NAV change from 31 Dec to 31 Dec
YearSchemeBenchmarkDifference
2026 YTD4.9%n/a–
20256.5%n/a–
20247.3%n/a–
20237.0%n/a–
20224.1%n/a–
20212.4%n/a–
20203.2%n/a–
20195.8%n/a–
20186.5%n/a–
20175.8%n/a–

No free benchmark proxy for this category. The first year starts from the first 31 December in the scheme's history.

Monthly SIP of ₹10,000 first business day of each month, ending 2 Oct 2026
PeriodInvestedValueXIRR
1 year₹1,20,000₹1,24,2016.5%
3 years₹3,60,000₹3,98,0436.6%
5 years₹6,00,000₹7,09,1546.6%
10 years₹12,00,000₹16,05,6335.7%

Uses this plan's NAVs; ignores stamp duty, exit loads and taxes. One historical path only — the interactive SIP analyzer shows outcomes across every start date.

Scheme facts
AMC: HSBC Mutual Fund
Category: Liquid
Plan / option: Regular · Growth
AMFI scheme code: 118907
ISIN: INF336L01BL1
First NAV in MFIC data: 30 Dec 2012
History: 13.8 years
Expense ratio, AUM, portfolio: see the scheme's factsheet
Schemes that behaved similarly correlation of monthly returns, last 5 years
SchemeCategoryCorrelation3Y CAGR
Bajaj Finserv Liquid FundLiquid1.006.8%
WhiteOak Capital Liquid FundLiquid0.996.8%
Invesco India Liquid FundLiquid0.996.3%
Kotak Liquid FundLiquid0.996.8%
Axis Liquid FundLiquid0.996.4%
Edelweiss Liquid FundLiquid0.996.9%
Questions about HSBC Liquid Fund
What is the latest NAV of HSBC Liquid Fund?
The NAV of the Regular plan (growth option) was ₹4,053.7454 on 2 Oct 2026, as published by AMFI.
Which category is HSBC Liquid Fund in?
It is classified as Liquid in AMFI's daily NAV file; a Liquid scheme invests in securities maturing in up to 91 days. MFIC compares it with 73 Liquid schemes (Regular plans).
What returns has HSBC Liquid Fund delivered?
Over one year the NAV changed by 6.4%. The 3-year CAGR is 6.8% (category median 6.8%) and the 5-year CAGR is 6.1% (category median 6.2%). Returns are after expenses and before tax. Past performance may or may not be sustained in future.
How consistent have its 3-year returns been?
Measuring a 3-year CAGR from every business day in its history, the median was 6.2%, the lowest was 3.1%, and 100% of 3-year periods ended with a gain.
What was the largest fall in HSBC Liquid Fund's NAV?
The largest peak-to-trough fall in its available history was 0.3%; within the last five years it was 0.0% (category median 0.0%).
How volatile is HSBC Liquid Fund?
Its annualised standard deviation of monthly returns over the last 36 months is 0.4%, which is above the Liquid category median of 0.4%.
What would a monthly SIP in HSBC Liquid Fund have grown to?
A SIP of ₹10,000 on the first business day of each month for the last 5 years (60 instalments, ₹6,00,000 invested) would have been worth about ₹7,09,154 on 2 Oct 2026, an annualised return (XIRR) of 6.6%. This uses the Regular plan's NAVs, ignores taxes and exit loads, and past performance may or may not be sustained in future.
Reviewing your own mutual fund portfolio?
Integrato's team can walk you through how your current schemes have behaved, using the same data shown here. Integrato is an AMFI-registered Mutual Fund Distributor.
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Data & disclosure. Source: AMFI daily NAV file and historical NAVs via mfapi.in; calculations by MFIC, as of 2 Oct 2026. Category medians use Regular plans in the same AMFI category. Mutual fund investments are subject to market risks; read all scheme-related documents carefully. Past performance may or may not be sustained in future. This page is for research and education only and is not investment advice or a recommendation to buy, sell or hold any scheme. Integrato Financial Services Pvt. Ltd. is an AMFI-registered Mutual Fund Distributor (ARN-173155). Methodology.