Mutual Fund Category

Debt

Explore mutual fund schemes in the Debt category.

382 Funds
49 AMCs
23 Subcategories
Updated: October 5, 2026

Debt Performance Highlights

Highlights based on currently available historical return data.

Debt Mutual Funds

382 eligible public funds found.

Clear Filters
Fund AMC / Subcategory NAV 1Y 3Y 5Y Sorted from lowest to highest return 10Y
HDFC Ultra Short Term Fund Regular • Growth • Code 145040 HDFC Mutual Fund Ultra Short Duration Fund 16.3381 October 5, 2026 6.00% 6.87% 6.24% —
DSP Money Market Fund Regular • Growth • Code 100087 DSP Mutual Fund Money Market Fund 56.9627 October 5, 2026 6.30% 6.98% 6.24% 6.19%
Nippon India Floating Interest Rates Fund Regular • Growth • Code 102673 Nippon India Mutual Fund Floating Interest Rates Fund 48.2909 October 5, 2026 4.78% 7.06% 6.25% 6.78%
Nippon India Liquid Fund Regular • Growth • Code 100851 Nippon India Mutual Fund Liquid Fund 6,882.7939 October 5, 2026 6.39% 6.83% 6.26% 6.03%
Kotak Medium Term Fund Regular • Growth • Code 128009 Kotak Mahindra Mutual Fund Medium Duration Fund 24.4806 October 5, 2026 5.08% 7.82% 6.27% 6.43%
Mirae Asset Money Market Fund Regular • Growth • Code 149115 Mirae Asset Mutual Fund Money Market Fund 1,361.4518 October 5, 2026 6.10% 7.04% 6.27% —
BARODA BNP PARIBAS LIQUID FUND Regular • Growth • Code 111704 Baroda BNP Paribas Mutual Fund Liquid Fund 3,240.7712 October 5, 2026 6.35% 6.78% 6.27% 6.03%
Mirae Asset Liquid Fund Regular • Growth • Code 111646 Mirae Asset Mutual Fund Liquid Fund 2,955.3115 October 5, 2026 6.32% 6.81% 6.27% 6.01%
Tata Floating Interest Rates Fund Regular • Growth • Code 149003 Tata Mutual Fund Floating Interest Rates Fund 13.6883 October 5, 2026 5.50% 6.92% 6.27% —
Baroda BNP Paribas Money Market Fund Regular • Growth • Code 147382 Baroda BNP Paribas Mutual Fund Money Market Fund 1,492.7161 October 5, 2026 6.26% 7.04% 6.28% —
Kotak Floating Interest Rates Fund Regular • Growth • Code 147266 Kotak Mahindra Mutual Fund Floating Interest Rates Fund 1,622.5915 October 5, 2026 5.13% 7.21% 6.28% —
BARODA BNP PARIBAS LIQUID FUND Regular • Growth • Code 101408 Baroda BNP Paribas Mutual Fund Liquid Fund 4,771.1709 October 5, 2026 6.35% 6.78% 6.28% 6.04%
PGIM India Liquid Fund Regular • Growth • Code 138288 PGIM India Mutual Fund Liquid Fund 367.2137 October 5, 2026 6.40% 6.84% 6.28% 6.05%
HSBC Liquid Fund Regular • Growth • Code 118902 HSBC Mutual Fund Liquid Fund 2,811.5789 October 5, 2026 6.38% 6.84% 6.29% 6.02%
BANDHAN ULTRA SHORT TERM FUND Regular • Growth • Code 144171 Bandhan Mutual Fund Ultra Short Term Fund 16.4501 October 5, 2026 6.26% 6.95% 6.29% —
UTI - Credit Risk Fund. Regular • Growth • Code 117981 UTI Mutual Fund Credit Risk Fund 18.3380 October 5, 2026 5.46% 6.95% 6.29% 2.50%
Invesco India Liquid Fund Regular • Growth • Code 104486 Invesco Mutual Fund Liquid Fund 3,877.8143 October 5, 2026 6.43% 6.86% 6.30% 6.01%
DSP Liquid Fund Regular • Growth • Code 103347 DSP Mutual Fund Liquid Fund 4,028.3326 October 5, 2026 6.44% 6.86% 6.30% 6.01%
UTI - Liquid Fund Regular • Growth • Code 102012 UTI Mutual Fund Liquid Fund 462.8139 October 5, 2026 6.42% 6.85% 6.30% 6.04%
Mahindra Manulife Liquid Fund Regular • Growth • Code 139537 Mahindra Manulife Mutual Fund Liquid Fund 1,835.5076 October 5, 2026 6.41% 6.85% 6.31% 6.07%

Debt Subcategories

Browse the available subcategories and explore their mutual fund schemes.

Frequently Asked Questions About Debt

Common questions about this mutual fund category and the data shown on this page.

What are Debt mutual funds?

Debt mutual funds are schemes grouped under this broad mutual fund category according to their investment objective and portfolio characteristics.

How many Debt mutual funds are listed?

This page currently includes 382 publicly visible Debt schemes from 49 AMCs.

How can I explore Debt subcategories?

Use the subcategory cards on this page to open a more focused list of funds. Each nested page contains its own statistics, performance highlights, filters and fund table.

How are the performance highlights calculated?

The highest 3-year return card uses available trailing 3-year return data. The weighted performance cards use 20% of the 1-year return, 40% of the 3-year return and 40% of the 5-year return.

When was the fund data last updated?

The latest NAV date currently available for this archive is October 5, 2026. Individual schemes may have different data availability.

Scroll to Top