Good afternoon :)
Mutual Funds
All Screens
New Screen
Screen Results
All Screens
Edit Filters
2 filters applied
MF Universe
Reset
Category
Reset
Commodity  (2)
Debt  (20/20)
Equity  (23)
Hybrid  (8)
Other  (7)
Plan
1 selected
Reset

1 selected

AUM (Cr)
CAGR 3Y (%)
Remove
Expense Ratio (%)
Remove
Absolute Ret. - 1Y (%)
Remove
Sharpe Ratio
Remove
2 filters applied
MF Universe
Category

20 sub-categories selected

Plan
1 selected
Reset
Plan

1 selected

AUM (Cr)
AUM (Cr)
CAGR 3Y (%)
Remove
CAGR 3Y (%)
Expense Ratio (%)
Remove
Expense Ratio (%)
Absolute Ret. - 1Y (%)
Remove
Absolute Ret. - 1Y (%)
Sharpe Ratio
Remove
Sharpe Ratio
MF Universe
Reset

Explore Diverse Debt Funds with Growth Plans

Discover a wide range of debt funds like Floating Rate, Banking & PSU, Gilt, and more, all designed for growth. Invest wisely with various options available.

Created by

@72461747246174

Showing 1 - 20 of 527 results

last updated at 11:00 PM IST 
NameMFs (527)Sub CategorySub CategoryPlanPlanAUMAUMCAGR 3YCAGR 3YExpense RatioExpense RatioAbsolute Returns - 1YAbsolute Ret. - 1YSharpe RatioSharpe Ratio
1.HDFC Liquid Fund
HDFC Liquid Fund
Liquid Fund
Liquid Fund
Growth
Growth
67,849.86
67,849.86
6.99
6.99
0.20
0.20
6.38
6.38
1.03
1.03
2.SBI Liquid Fund
SBI Liquid Fund
Liquid Fund
Liquid Fund
Growth
Growth
66,119.33
66,119.33
6.96
6.96
0.19
0.19
6.31
6.31
0.79
0.79
3.ICICI Pru Liquid Fund
ICICI Pru Liquid Fund
Liquid Fund
Liquid Fund
Growth
Growth
53,738.39
53,738.39
7.01
7.01
0.20
0.20
6.36
6.36
1.02
1.02
4.Aditya Birla SL Liquid Fund
Aditya Birla SL Liquid Fund
Liquid Fund
Liquid Fund
Growth
Growth
51,838.16
51,838.16
7.08
7.08
0.21
0.21
6.45
6.45
1.46
1.46
5.Axis Liquid Fund
Axis Liquid Fund
Liquid Fund
Liquid Fund
Growth
Growth
43,636.30
43,636.30
7.06
7.06
0.11
0.11
6.44
6.44
1.41
1.41
6.Kotak Liquid Fund
Kotak Liquid Fund
Liquid Fund
Liquid Fund
Growth
Growth
42,746.41
42,746.41
7.00
7.00
0.19
0.19
6.38
6.38
1.11
1.11
7.Tata Money Market Fund
Tata Money Market Fund
Money Market Fund
Money Market Fund
Growth
Growth
36,819.05
36,819.05
7.71
7.71
0.16
0.16
7.38
7.38
7.58
7.58
8.SBI Savings Fund
SBI Savings Fund
Money Market Fund
Money Market Fund
Growth
Growth
35,417.75
35,417.75
7.52
7.52
0.25
0.25
7.21
7.21
7.31
7.31
9.ICICI Pru Money Market Fund
ICICI Pru Money Market Fund
Money Market Fund
Money Market Fund
Growth
Growth
35,305.07
35,305.07
7.58
7.58
0.21
0.21
7.31
7.31
7.42
7.42
10.Tata Liquid Fund
Tata Liquid Fund
Liquid Fund
Liquid Fund
Growth
Growth
33,551.10
33,551.10
7.03
7.03
0.20
0.20
6.43
6.43
1.32
1.32
11.ICICI Pru Corp Bond Fund
ICICI Pru Corp Bond Fund
Corporate Bond Fund
Corporate Bond Fund
Growth
Growth
33,237.36
33,237.36
8.00
8.00
0.35
0.35
7.77
7.77
3.77
3.77
12.HDFC Corp Bond Fund
HDFC Corp Bond Fund
Corporate Bond Fund
Corporate Bond Fund
Growth
Growth
33,200.25
33,200.25
7.86
7.86
0.36
0.36
7.09
7.09
2.23
2.23
13.HDFC Money Market Fund
HDFC Money Market Fund
Money Market Fund
Money Market Fund
Growth
Growth
33,094.05
33,094.05
7.57
7.57
0.23
0.23
7.29
7.29
7.58
7.58
14.Kotak Money Market Fund
Kotak Money Market Fund
Money Market Fund
Money Market Fund
Growth
Growth
32,869.86
32,869.86
7.55
7.55
0.16
0.16
7.25
7.25
7.49
7.49
15.Nippon India Liquid Fund
Nippon India Liquid Fund
Liquid Fund
Liquid Fund
Growth
Growth
32,735.75
32,735.75
7.04
7.04
0.20
0.20
6.41
6.41
1.32
1.32
16.ICICI Pru Savings Fund
ICICI Pru Savings Fund
Low Duration Fund
Low Duration Fund
Growth
Growth
31,283.97
31,283.97
7.80
7.80
0.42
0.42
7.59
7.59
6.70
6.70
17.Aditya Birla SL Money Manager Fund
Aditya Birla SL Money Manager Fund
Money Market Fund
Money Market Fund
Growth
Growth
30,777.54
30,777.54
7.59
7.59
0.22
0.22
7.18
7.18
7.43
7.43
18.SBI Overnight Fund
SBI Overnight Fund
Overnight Fund
Overnight Fund
Growth
Growth
28,880.19
28,880.19
6.30
6.30
0.08
0.08
5.53
5.53
-23.72
-23.72
19.Aditya Birla SL Corp Bond Fund
Aditya Birla SL Corp Bond Fund
Corporate Bond Fund
Corporate Bond Fund
Growth
Growth
27,913.11
27,913.11
7.80
7.80
0.33
0.33
6.96
6.96
2.03
2.03
20.UTI Liquid Fund
UTI Liquid Fund
Liquid Fund
Liquid Fund
Growth
Growth
27,263.41
27,263.41
7.02
7.02
0.14
0.14
6.40
6.40
1.23
1.23