Best Debt Mutual Funds

*Based on 1 Yr % Returns. Open Free MF account now Login to invest now
Debt Funds - Income Funds
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
Indiabulls Income Fund (Div-Q) 13.82 23.88 0.23 0.84 2.59 4 10.31
Indiabulls Income Fund (Div-H) 13.42 23.88 0.23 0.89 2.64 4.03 10.30
Indiabulls Income Fund (G) 15.33 23.88 0.23 0.89 2.64 4.02 10.27
Debt Funds - Short Term
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
Aditya Birla SL Banking & PSU Debt Fund - (D) 158.71 5514.81 0.12 0.45 2.41 4.19 14.22
Franklin India Short Term Income - Inst (G) 3254.09 12405.85 0.21 0.45 3.54 5.17 9.25
Franklin India Short Term Income (G) 3942.97 12405.85 0.21 0.42 3.44 4.96 8.83
Exchange Traded Funds (ETFs) - Debt
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
LIC MF G-Sec Long Term ETF 17.99 74.47 [0.15] [0.07] 2.95 6.04 8.49
Fixed Maturity Plans
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
UTI-Dual Advantage FTF Sr.V-I(1103Days)-Reg (D) 10.45 37 0 0.24 1.45 1.90 26.04
HDFC FMP - 1148Days-Feb 2016(2)(XXXV) (D) 13.11 403.96 0.15 0.68 2.32 4.47 9.42
HDFC FMP - 1148Days-Feb 2016(2)(XXXV) (G) 13.11 403.96 0.15 0.68 2.32 4.47 9.42
Floating Rate Funds - Short Term
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
HDFC Floating Rate Debt Fund - WP (G) 32.16 8281.65 0.15 0.66 2.28 3.97 7.54
HDFC Floating Rate Debt Fund - WP (Div-D) 10.08 8281.65 0.15 0.70 2.32 3.97 7.50
HDFC Floating Rate Debt Fund - WP (Div-W) 10.15 8281.65 0.14 0.89 2.26 3.93 7.49
Gilt Funds - Medium & Long Term
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
ICICI Pru Constant Maturity Gilt Fund-Reg (Div-H) 11.28 26.53 [0.25] 0.18 9.82 12.96 17.34
ICICI Pru Constant Maturity Gilt Fund-Reg (G) 14.92 26.53 [0.25] 0.18 3.38 6.33 10.46
ICICI Pru Constant Maturity Gilt Fund-Reg (Div-A) 11.34 26.53 [0.25] 0.18 3.38 6.33 10.46
Gilt Funds - Short Term
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
IDFC GSF Constant Maturity Plan (Div-Periodic) 14.87 28.93 [0.15] [0.01] 3.86 7.54 10.74
IDFC GSF Constant Maturity Plan (G) 27.75 28.93 [0.15] [0.01] 3.86 7.54 10.73
IDFC GSF Constant Maturity Plan (Div-Q) 10.87 28.93 [0.15] [0.01] 3.81 7.48 10.67
Interval Income Funds
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
Reliance Interval Fund - Annual - Sr.I Retail (G) 25.28 100.54 0.13 0.70 2.41 4.15 8.04
Reliance Interval Fund - Annual - Sr.I (G) 18.75 100.54 0.13 0.70 2.41 4.15 8.04
Reliance Interval Fund - Annual - Sr.I Retail (D) 10.52 100.54 0.13 0.70 2.41 4.15 8.02
Liquid Funds
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
SBI Liquid Fund - Inst (Div-Frtly) 1024.88 56223.82 0.13 0.59 1.80 31.90 36.62
AXIS Liquid Fund - Retail (Div-W) 1000.62 25066.68 0.17 0.79 2.59 5.21 10.50
IDFC Cash Fund - Regular (Div-D) 1001.08 10707.45 0.16 0.73 2.27 4.71 9.65
Ultra Short Term Funds
Scheme Name NAV(Rs.) AUM(Rs.in Cr) 1w % 1m % 3m % 6m % 1y %
AXIS Banking & PSU Debt Fund (Div-M) 1015.75 2648.9 0.36 0.85 3.20 5.30 10.16
Edelweiss Low Duration Fund-Retail (Div-W) 1007.21 381.14 0.15 0.53 2.16 3.57 10.08
Edelweiss Low Duration Fund-Regular (Div-W) 1006.47 381.14 0.14 0.53 2.16 3.50 9.20
 
Fund Manager Speak
My wealth at retirement

Calculate the worth of your wealth at retirement

My age (years)
Age I plan to retire (years)
Current savings (Rs.)
Monthly savings (Rs.)
ROI(% p.a.)