FUNDS-TO-PARK-YOUR-CASH Mutual Funds

Fund Name
NAV
NAV Date
Exp. Ratio
Edelweiss Arbitrage Fund
1
22.34
6.64%
7.55%
6.83%
1.71
₹15062 Cr
LIC MF Liquid Fund
1
5128.63
6.44%
6.97%
6.28%
0.13
₹13416 Cr
Nippon India Arbitrage Fund
3
30.80
6.67%
7.43%
6.72%
0.28
₹16638 Cr
Union Liquid Fund
4
2725.04
6.46%
7%
6.32%
0.06
₹6650 Cr
Bandhan Arbitrage Fund
9
37.64
6.43%
7.43%
6.67%
0.29
₹8190 Cr
HSBC Arbitrage Fund
11
21.79
6.53%
7.34%
6.54%
0.22
₹2944 Cr
Kotak Arbitrage Fund
12
43.03
6.7%
7.61%
6.87%
0.38
₹72409 Cr
DSP Liquidity Fund
13
4041.12
6.49%
7.01%
6.31%
0.12
₹19371 Cr
DSP Arbitrage Fund
14
16.78
6.53%
7.35%
6.58%
1.11
₹6529 Cr
Nippon India Liquid Fund
15
6917.31
6.48%
7.01%
6.31%
0.17
₹35870 Cr