Gl · Moderate shelf
Gilt & duration funds
Government bonds and interest-rate positioning, from medium to very long.
Noticeable dips are normal. Suits a few years out. Industry-wide this shelf holds ₹1.14 lakh crore across 87 schemes (AMFI, categories: Gilt Fund, Dynamic Bond Fund, Medium Duration Fund, Medium to Long Duration Fund, Long Duration Fund, Gilt Fund with 10 year constant duration).
Gilt & duration by the numbers
nyvo publishes data pages for 89 schemes in Gilt & duration, from 31 fund houses, holding ₹1.14 lakh crore between them. Over the last five years the median returned 5.9% a year, and the gap between the best and worst was 8.5 percentage points a year across 74 funds with a five-year record (NAV as of 6 Oct 2026).
| Window | Worst | Median | Best | Spread | Funds |
|---|---|---|---|---|---|
| 1 year | -0.1% | 3.0% | 8.4% | 8.5 pts | 89 |
| 3 years (per year) | 4.9% | 6.6% | 10.5% | 5.6 pts | 82 |
| 5 years (per year) | 4.2% | 5.9% | 12.7% | 8.5 pts | 74 |
- Median fund size
- ₹341 crore
- Largest fund
- ₹13,321 crore
- Longest track record
- since 2013
Worst, median and best describe the spread across the funds on this shelf that have a data page on nyvo – they are not an index, not a benchmark, and no fund is named. The spread is simply the distance between the highest and lowest figure in that window; on shelves that hold more than one kind of asset it reflects that mix as much as anything else. Sample sizes differ by window because newer funds have no five-year record. Past returns do not predict future returns.
89 funds with data pages
- ICICI Prudential Dynamic Term Fund₹13,321 crore · NAV ₹42.47 (6 Oct 2026)
- ICICI Prudential Gilt Fund₹8,292 crore · NAV ₹115.79 (6 Oct 2026)
- SBI GILT FUND₹8,215 crore · NAV ₹72.74 (6 Oct 2026)
- SBI MEDIUM TERM FUND₹6,489 crore · NAV ₹59.67 (6 Oct 2026)
- Nippon India Nivesh Lakshya Long Term Fund₹6,276 crore · NAV ₹18.42 (6 Oct 2026)
- ICICI Prudential Medium Term Fund₹5,516 crore · NAV ₹53.77 (6 Oct 2026)
- Nippon India Dynamic Term Fund₹3,912 crore · NAV ₹42.21 (6 Oct 2026)
- HDFC Medium Term Fund₹3,604 crore · NAV ₹66.06 (6 Oct 2026)
- SBI DYNAMIC TERM FUND₹3,553 crore · NAV ₹41.54 (6 Oct 2026)
- Aditya Birla Sun Life Medium Term Fund₹3,319 crore · NAV ₹48.05 (6 Oct 2026)
- HDFC Long Term Fund₹2,814 crore · NAV ₹12.44 (6 Oct 2026)
- Kotak Dynamic Term Fund₹2,381 crore · NAV ₹43.57 (6 Oct 2026)
- Kotak Gilt Fund₹2,199 crore · NAV ₹110.94 (6 Oct 2026)
- Kotak Gilt Fund - Direct Plan - Investment Provident Fund and Trust₹2,199 crore · NAV ₹113.63 (6 Oct 2026)
- Axis Medium Term Fund₹2,112 crore · NAV ₹33.36 (6 Oct 2026)
- ICICI Prudential Medium to Long Term Fund₹2,048 crore · NAV ₹44.68 (6 Oct 2026)
- SBI MEDIUM TO LONG TERM FUND₹2,046 crore · NAV ₹80.16 (6 Oct 2026)
- HDFC Gilt Fund₹2,045 crore · NAV ₹60.04 (6 Oct 2026)
- ICICI Prudential 10 year Constant Maturity Gilt Fund₹2,012 crore · NAV ₹26.35 (6 Oct 2026)
- BANDHAN Dynamic Term Fund₹1,944 crore · NAV ₹40.27 (6 Oct 2026)
- Kotak Medium Term Fund₹1,926 crore · NAV ₹27.55 (6 Oct 2026)
- Bandhan Gilt Fund₹1,883 crore · NAV ₹40.89 (6 Oct 2026)
- Kotak Medium to Long Term Fund₹1,841 crore · NAV ₹90.38 (6 Oct 2026)
- Aditya Birla Sun Life Medium to Long Term Fund₹1,770 crore · NAV ₹139.73 (6 Oct 2026)
- SBI 10 YEAR CONSTANT MATURITY GILT FUND₹1,605 crore · NAV ₹68.62 (6 Oct 2026)
- Nippon India Gilt Fund₹1,542 crore · NAV ₹44.2 (6 Oct 2026)
- Aditya Birla Sun Life Dynamic Term Fund₹1,447 crore · NAV ₹52.98 (6 Oct 2026)
- SBI Long Term Fund₹1,305 crore · NAV ₹12.68 (6 Oct 2026)
- Aditya Birla Sun Life Gilt Fund₹1,297 crore · NAV ₹87.97 (6 Oct 2026)
- Bandhan Medium Term Fund₹1,261 crore · NAV ₹53.44 (6 Oct 2026)
- DSP Gilt Fund₹1,236 crore · NAV ₹105.41 (6 Oct 2026)
- Axis Dynamic Term Fund₹993 crore · NAV ₹34.77 (6 Oct 2026)
- ICICI Prudential Long Term Fund₹849 crore · NAV ₹100.22 (6 Oct 2026)
- HDFC Medium to Long Term Fund₹839 crore · NAV ₹67.14 (6 Oct 2026)
- Tata Gilt Fund₹788 crore · NAV ₹89.63 (6 Oct 2026)
- HSBC Medium Term Fund₹689 crore · NAV ₹23.87 (6 Oct 2026)
- DSP Dynamic Term Fund₹639 crore · NAV ₹3,667.13 (6 Oct 2026)
- BARODA BNP PARIBAS GILT FUND₹575 crore · NAV ₹48.21 (6 Oct 2026)
- 360 ONE Dynamic Term Fund₹570 crore · NAV ₹25.46 (6 Oct 2026)
- HDFC Dynamic Term Fund₹505 crore · NAV ₹103.17 (6 Oct 2026)
- Bandhan Medium to Long Term Fund₹425 crore · NAV ₹75.05 (6 Oct 2026)
- UTI - Gilt Fund₹420 crore · NAV ₹68.06 (6 Oct 2026)
- UTI Dynamic Term Fund₹401 crore · NAV ₹35.62 (6 Oct 2026)
- Nippon India Medium to Long Term Fund₹351 crore · NAV ₹104.69 (6 Oct 2026)
- Axis Gilt Fund₹341 crore · NAV ₹28.36 (6 Oct 2026)
- UTI Medium to Long Term Fund₹305 crore · NAV ₹83.13 (6 Oct 2026)
- Bandhan 10 year Constant Maturity Gilt Fund₹293 crore · NAV ₹48.79 (6 Oct 2026)
- DSP Medium Term Fund₹251 crore · NAV ₹91.89 (6 Oct 2026)
- Axis Long Term Fund₹176 crore · NAV ₹1,254.68 (6 Oct 2026)
- LIC MF Medium to Long Term Fund₹175 crore · NAV ₹82.19 (6 Oct 2026)
- Invesco India Medium Term Fund₹165 crore · NAV ₹1,356.1 (6 Oct 2026)
- HSBC Gilt Fund₹158 crore · NAV ₹77.19 (6 Oct 2026)
- Franklin India Gilt Fund₹149 crore · NAV ₹67.63 (6 Oct 2026)
- Nippon India Medium Term Fund (Existing Number of Segregated Portfolios - 1₹147 crore · NAV ₹18.38 (6 Oct 2026)
- Invesco India Gilt Fund₹130 crore · NAV ₹3,205.61 (6 Oct 2026)
- Edelweiss Gilt Fund₹123 crore · NAV ₹26.44 (6 Oct 2026)
- HSBC Dynamic Term Fund₹123 crore · NAV ₹33.31 (6 Oct 2026)
- Canara Robeco Gilt Fund₹121 crore · NAV ₹83.28 (6 Oct 2026)
- Mirae Asset Dynamic Term Fund₹116 crore · NAV ₹18.7 (6 Oct 2026)
- Baroda BNP Paribas Dynamic Term Fund₹115 crore · NAV ₹52.38 (6 Oct 2026)
- UTI 10 year Constant Maturity Gilt Fund₹112 crore · NAV ₹13.23 (6 Oct 2026)
- Canara Robeco Medium To Long Term Fund₹111 crore · NAV ₹64.47 (6 Oct 2026)
- Aditya Birla Sun Life Long Term Fund₹106 crore · NAV ₹13.32 (6 Oct 2026)
- UTI Long Term Fund₹89 crore · NAV ₹12.22 (6 Oct 2026)
- PGIM India Gilt Fund₹88 crore · NAV ₹33.33 (6 Oct 2026)
- Quantum Dynamic Term Fund₹88 crore · NAV ₹22.65 (6 Oct 2026)
- Union Gilt Fund₹86 crore · NAV ₹12.37 (6 Oct 2026)
- Canara Robeco Dynamic Term Fund₹82 crore · NAV ₹33.02 (6 Oct 2026)
- PGIM India Dynamic Term Fund₹81 crore · NAV ₹3,106.4 (6 Oct 2026)
- quant Gilt Fund₹79 crore · NAV ₹12.48 (6 Oct 2026)
- BANK OF INDIA CONSERVATIVE HYBRID FUND₹65 crore · NAV ₹37.81 (6 Oct 2026)
- Union Dynamic Term Fund₹64 crore · NAV ₹24.76 (6 Oct 2026)
- Kotak Long Term Fund₹61 crore · NAV ₹11.08 (6 Oct 2026)
- Mahindra Manulife Dynamic Term Fund₹54 crore · NAV ₹16.37 (6 Oct 2026)
- BANDHAN LONG TERM FUND₹54 crore · NAV ₹11.36 (6 Oct 2026)
- JM Dynamic Term Fund₹53 crore · NAV ₹46.46 (6 Oct 2026)
- HSBC Medium to Long Term Fund₹49 crore · NAV ₹48.78 (6 Oct 2026)
- Franklin India Long Term Fund₹48 crore · NAV ₹10.83 (6 Oct 2026)
- Franklin India Medium to Long Term Fund₹44 crore · NAV ₹11.25 (6 Oct 2026)
- DSP 10 year Constant Maturity Gilt Fund₹43 crore · NAV ₹22.81 (6 Oct 2026)
- LIC MF Gilt Fund₹43 crore · NAV ₹66.74 (6 Oct 2026)
- UTI Medium Term Fund₹36 crore · NAV ₹20.68 (6 Oct 2026)
- Groww Gilt Fund₹35 crore · NAV ₹10.03 (6 Oct 2026)
- Sundaram Medium Term Fund (Formerly Known as Sundaram Medium Duration Fund₹34 crore · NAV ₹80.55 (6 Oct 2026)
- JM Medium to Long Term Fund₹30 crore · NAV ₹71.85 (6 Oct 2026)
- Bajaj Finserv Gilt Fund₹28 crore · NAV ₹1,075.86 (6 Oct 2026)
- ITI Dynamic Term Fund₹26 crore · NAV ₹13.42 (6 Oct 2026)
- Groww Dynamic Term Fund₹25 crore · NAV ₹1,581.54 (6 Oct 2026)
- Mirae Asset Long Term Fund₹22 crore · NAV ₹10.45 (6 Oct 2026)
1 more fund exists in these categories without enough published history for a data page yet; they appear here automatically once they have one.
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Funds are listed by assets under management – a fact, not a ranking. Shelf-level industry figures are AMFI monthly data; per-fund figures come from nyvo research systems and update daily. This page is general information, not investment advice, and carries no rating and no recommendation. Mutual fund investments are subject to market risks; read all scheme related documents carefully.