Debt · SEBI scheme category · Aug 2026
Dynamic Term funds
Published Apr 2019 – Aug 2026 AMFI labels: Dynamic Bond Fund | Dynamic Term Fund
Published as Dynamic Bond Fund until July 2026.
Flow and asset history
89 published months · ₹ crore
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Largest fund houses in this category
Average AUM · Apr–Jun 2026 · Dynamic Term
| Fund house | Average AUM | Share of category | Share of the AMC’s assets |
|---|---|---|---|
| ICICI Prudential Mutual Fund | 13,748 Cr | 43.4% | 1.2% |
| Nippon India Mutual Fund | 3,937 Cr | 12.4% | 0.5% |
| SBI Mutual Fund | 3,810 Cr | 12.0% | 0.3% |
| Kotak Mahindra Mutual Fund | 2,409 Cr | 7.6% | 0.4% |
| Bandhan Mutual Fund | 2,044 Cr | 6.5% | 1.0% |
| Aditya Birla Sun Life Mutual Fund | 1,483 Cr | 4.7% | 0.3% |
| Axis Mutual Fund | 1,040 Cr | 3.3% | 0.3% |
| DSP Mutual Fund | 727 Cr | 2.3% | 0.3% |
| 360 ONE Mutual Fund | 584 Cr | 1.8% | 4.5% |
| HDFC Mutual Fund | 563 Cr | 1.8% | 0.1% |
| UTI Mutual Fund | 415 Cr | 1.3% | 0.1% |
| HSBC Mutual Fund | 125 Cr | 0.4% | 0.1% |
| Baroda BNP Paribas Mutual Fund | 123 Cr | 0.4% | 0.2% |
| Mirae Asset Mutual Fund | 116 Cr | 0.4% | 0.1% |
| Canara Robeco Mutual Fund | 87.43 Cr | 0.3% | 0.1% |
Quarterly average AUM grouped by AMFI’s current scheme category. The category family keeps split categories together, so the figures stay comparable. It is not a flow.
New fund offers
Recent launches in this category family
| Month | Schemes | Mobilised | Published category |
|---|---|---|---|
| Jul 2021 | 1 | 51.00 Cr | Dynamic Bond Fund |
NFO money is part of that month’s gross mobilisation; it is shown here, never added to it.
Monthly figures 89 months · ₹ crore
| Month | Gross mobilisation | Redemptions | Net flow | AUM | AUM change | Other than flow | Folios | Schemes |
|---|---|---|---|---|---|---|---|---|
| Aug 2026Dynamic Term Fund | 177 | 820 | -643 | 29,986 | -602 | +40.12 | 2.14 L | 22 |
| Jul 2026Dynamic Bond Fund | 304 | 886 | -582 | 30,588 | -558 | +23.28 | 2.16 L | 22 |
| Jun 2026Dynamic Bond Fund | 174 | 1,135 | -961 | 31,146 | -244 | +717 | 2.17 L | 22 |
| May 2026Dynamic Bond Fund | 109 | 762 | -654 | 31,391 | -571 | +82.77 | 2.19 L | 22 |
| Apr 2026Dynamic Bond Fund | 147 | 851 | -705 | 31,962 | -424 | +280 | 2.21 L | 22 |
| Mar 2026Dynamic Bond Fund | 290 | 2,031 | -1,741 | 32,386 | -2,053 | -312 | 2.24 L | 22 |
| Feb 2026Dynamic Bond Fund | 214 | 766 | -551 | 34,439 | -279 | +272 | 2.28 L | 22 |
| Jan 2026Dynamic Bond Fund | 203 | 1,638 | -1,435 | 34,718 | -1,390 | +44.88 | 2.29 L | 22 |
| Dec 2025Dynamic Bond Fund | 440 | 1,283 | -843 | 36,108 | -749 | +94.00 | 2.33 L | 22 |
| Nov 2025Dynamic Bond Fund | 329 | 935 | -607 | 36,857 | -477 | +130 | 2.36 L | 22 |
| Oct 2025Dynamic Bond Fund | 687 | 919 | -233 | 37,334 | +11.29 | +244 | 2.38 L | 22 |
| Sep 2025Dynamic Bond Fund | 1,364 | 845 | +519 | 37,323 | +899 | +379 | 2.40 L | 22 |
| Aug 2025Dynamic Bond Fund | 547 | 942 | -395 | 36,424 | -750 | -355 | 2.40 L | 22 |
| Jul 2025Dynamic Bond Fund | 729 | 667 | +62.55 | 37,174 | +262 | +199 | 2.40 L | 22 |
| Jun 2025Dynamic Bond Fund | 741 | 697 | +44.03 | 36,912 | -176 | -220 | 2.37 L | 22 |
| May 2025Dynamic Bond Fund | 1,256 | 690 | +567 | 37,088 | +857 | +290 | 2.35 L | 22 |
| Apr 2025Dynamic Bond Fund | 944 | 954 | -10.23 | 36,231 | +640 | +650 | 2.30 L | 22 |
| Mar 2025Dynamic Bond Fund | 1,226 | 1,599 | -373 | 35,592 | +274 | +647 | 2.25 L | 22 |
| Feb 2025Dynamic Bond Fund | 493 | 601 | -108 | 35,317 | -70.71 | +37.33 | 2.24 L | 22 |
| Jan 2025Dynamic Bond Fund | 556 | 670 | -115 | 35,388 | +111 | +226 | 2.23 L | 22 |
| Dec 2024Dynamic Bond Fund | 750 | 1,201 | -450 | 35,277 | -270 | +180 | 2.23 L | 22 |
| Nov 2024Dynamic Bond Fund | 900 | 586 | +314 | 35,547 | +474 | +160 | 2.23 L | 22 |
| Oct 2024Dynamic Bond Fund | 1,299 | 785 | +515 | 35,073 | +561 | +46.38 | 2.23 L | 22 |
| Sep 2024Dynamic Bond Fund | 1,225 | 1,108 | +116 | 34,512 | +548 | +431 | 2.20 L | 22 |
| Aug 2024Dynamic Bond Fund | 1,302 | 725 | +577 | 33,964 | +895 | +318 | 2.18 L | 22 |
| Jul 2024Dynamic Bond Fund | 878 | 671 | +207 | 33,070 | +500 | +294 | 2.16 L | 22 |
| Jun 2024Dynamic Bond Fund | 471 | 823 | -352 | 32,569 | -120 | +232 | 2.16 L | 22 |
| May 2024Dynamic Bond Fund | 477 | 615 | -138 | 32,689 | +312 | +450 | 2.18 L | 22 |
| Apr 2024Dynamic Bond Fund | 1,411 | 558 | +853 | 32,377 | +760 | -93.45 | 2.20 L | 22 |
| Mar 2024Dynamic Bond Fund | 505 | 643 | -138 | 31,617 | +108 | +246 | 2.21 L | 22 |
| Feb 2024Dynamic Bond Fund | 627 | 495 | +132 | 31,509 | +456 | +325 | 2.20 L | 22 |
| Jan 2024Dynamic Bond Fund | 485 | 548 | -62.73 | 31,053 | +191 | +254 | 2.20 L | 22 |
| Dec 2023Dynamic Bond Fund | 436 | 572 | -136 | 30,861 | +163 | +300 | 2.22 L | 22 |
| Nov 2023Dynamic Bond Fund | 209 | 343 | -134 | 30,698 | +109 | +243 | 2.24 L | 22 |
| Oct 2023Dynamic Bond Fund | 588 | 475 | +114 | 30,589 | +119 | +5.02 | 2.26 L | 22 |
| Sep 2023Dynamic Bond Fund | 349 | 685 | -337 | 30,470 | -252 | +84.89 | 2.28 L | 22 |
| Aug 2023Dynamic Bond Fund | 787 | 652 | +135 | 30,722 | +312 | +177 | 2.30 L | 22 |
| Jul 2023Dynamic Bond Fund | 601 | 533 | +67.38 | 30,410 | +200 | +133 | 2.32 L | 22 |
| Jun 2023Dynamic Bond Fund | 506 | 367 | +139 | 30,210 | +199 | +59.20 | 2.33 L | 22 |
| May 2023Dynamic Bond Fund | 408 | 695 | -287 | 30,012 | +1.58 | +289 | 2.33 L | 22 |
| Apr 2023Dynamic Bond Fund | 595 | 233 | +362 | 30,010 | +723 | +361 | 2.31 L | 22 |
| Mar 2023Dynamic Bond Fund | 6,427 | 767 | +5,661 | 29,287 | +5,922 | +261 | 2.30 L | 22 |
| Feb 2023Dynamic Bond Fund | 747 | 245 | +502 | 23,365 | +532 | +30.34 | 2.20 L | 22 |
| Jan 2023Dynamic Bond Fund | 548 | 495 | +53.18 | 22,833 | +144 | +90.49 | 2.19 L | 22 |
| Dec 2022Dynamic Bond Fund | 615 | 961 | -346 | 22,689 | -248 | +98.06 | 2.18 L | 22 |
| Nov 2022Dynamic Bond Fund | 916 | 571 | +344 | 22,937 | +792 | +447 | 2.18 L | 23 |
| Oct 2022Dynamic Bond Fund | 357 | 365 | -8.03 | 22,145 | +61.06 | +69.09 | 2.17 L | 24 |
| Sep 2022Dynamic Bond Fund | 355 | 1,108 | -753 | 22,084 | -908 | -154 | 2.18 L | 24 |
| Aug 2022Dynamic Bond Fund | 1,263 | 365 | +899 | 22,992 | +1,145 | +246 | 2.23 L | 25 |
| Jul 2022Dynamic Bond Fund | 272 | 363 | -91.19 | 21,847 | +179 | +270 | 2.24 L | 25 |
| Jun 2022Dynamic Bond Fund | 175 | 913 | -738 | 21,668 | -675 | +62.97 | 2.25 L | 25 |
| May 2022Dynamic Bond Fund | 220 | 2,634 | -2,414 | 22,342 | -2,665 | -251 | 2.27 L | 25 |
| Apr 2022Dynamic Bond Fund | 266 | 462 | -197 | 25,007 | -305 | -108 | 2.30 L | 25 |
| Mar 2022Dynamic Bond Fund | 320 | 1,205 | -885 | 25,312 | -887 | -2.30 | 2.34 L | 25 |
| Feb 2022Dynamic Bond Fund | 880 | 2,585 | -1,705 | 26,199 | -1,603 | +102 | 2.36 L | 26 |
| Jan 2022Dynamic Bond Fund | 264 | 742 | -478 | 27,802 | -526 | -48.17 | 2.40 L | 26 |
| Dec 2021Dynamic Bond Fund | 1,631 | 592 | +1,039 | 28,328 | +1,010 | -29.50 | 2.45 L | 26 |
| Nov 2021Dynamic Bond Fund | 859 | 1,620 | -762 | 27,318 | -570 | +192 | 2.47 L | 26 |
| Oct 2021Dynamic Bond Fund | 2,365 | 553 | +1,812 | 27,888 | +1,807 | -4.90 | 2.50 L | 26 |
| Sep 2021Dynamic Bond Fund | 918 | 494 | +424 | 26,081 | +610 | +186 | 2.51 L | 26 |
| Aug 2021Dynamic Bond Fund | 1,495 | 808 | +687 | 25,471 | +901 | +214 | 2.52 L | 26 |
| Jul 2021Dynamic Bond Fund | 1,469 | 1,834 | -365 | 24,570 | -312 | +53.13 | 2.56 L | 26 |
| Jun 2021Dynamic Bond Fund | 1,570 | 1,622 | -51.80 | 24,882 | +15.59 | +67.39 | 2.59 L | 25 |
| May 2021Dynamic Bond Fund | 1,292 | 743 | +549 | 24,866 | +671 | +122 | 2.61 L | 25 |
| Apr 2021Dynamic Bond Fund | 378 | 2,481 | -2,103 | 24,195 | -3,357 | -1,254 | 2.62 L | 25 |
| Mar 2021Dynamic Bond Fund | 3,596 | 1,771 | +1,826 | 27,552 | +2,131 | +305 | 2.85 L | 25 |
| Feb 2021Dynamic Bond Fund | 1,332 | 3,095 | -1,763 | 25,421 | -2,122 | -359 | 2.89 L | 25 |
| Jan 2021Dynamic Bond Fund | 1,374 | 589 | +785 | 27,544 | +793 | +8.29 | 2.92 L | 26 |
| Dec 2020Dynamic Bond Fund | 2,158 | 612 | +1,546 | 26,750 | +1,689 | +142 | 2.99 L | 27 |
| Nov 2020Dynamic Bond Fund | 1,152 | 312 | +840 | 25,062 | +970 | +130 | 2.87 L | 27 |
| Oct 2020Dynamic Bond Fund | 2,030 | 452 | +1,578 | 24,091 | +1,973 | +395 | 2.77 L | 28 |
| Sep 2020Dynamic Bond Fund | 1,147 | 496 | +651 | 22,119 | +809 | +157 | 2.69 L | 28 |
| Aug 2020Dynamic Bond Fund | 2,050 | 506 | +1,544 | 21,310 | +1,283 | -261 | 2.64 L | 29 |
| Jul 2020Dynamic Bond Fund | 2,755 | 736 | +2,019 | 20,027 | +2,319 | +300 | 2.55 L | 29 |
| Jun 2020Dynamic Bond Fund | 1,166 | 854 | +312 | 17,708 | +479 | +168 | 2.22 L | 29 |
| May 2020Dynamic Bond Fund | 734 | 809 | -75.14 | 17,229 | +261 | +336 | 2.15 L | 29 |
| Apr 2020Dynamic Bond Fund | 912 | 2,067 | -1,155 | 16,968 | -1,148 | +7.28 | 2.10 L | 29 |
| Mar 2020Dynamic Bond Fund | 847 | 1,680 | -833 | 18,116 | -871 | -38.38 | 2.16 L | 29 |
| Feb 2020Dynamic Bond Fund | 444 | 429 | +14.90 | 18,987 | +349 | +334 | 2.19 L | 29 |
| Jan 2020Dynamic Bond Fund | 472 | 556 | -83.74 | 18,638 | -127 | -43.00 | 2.70 L | 28 |
| Dec 2019Dynamic Bond Fund | 471 | 622 | -151 | 18,765 | -114 | +37.11 | 2.16 L | 28 |
| Nov 2019Dynamic Bond Fund | 373 | 508 | -135 | 18,879 | +31.73 | +167 | 2.16 L | 28 |
| Oct 2019Dynamic Bond Fund | 261 | 370 | -109 | 18,847 | -31.38 | +78.02 | 2.16 L | 28 |
| Sep 2019Dynamic Bond Fund | 308 | 534 | -226 | 18,878 | -175 | +51.13 | 2.16 L | 28 |
| Aug 2019Dynamic Bond Fund | 376 | 443 | -67.27 | 19,053 | -14.02 | +53.25 | 2.13 L | 28 |
| Jul 2019Dynamic Bond Fund | 464 | 587 | -122 | 19,067 | +229 | +352 | 2.11 L | 28 |
| Jun 2019Dynamic Bond Fund | 274 | 1,061 | -786 | 18,838 | -711 | +75.11 | 2.10 L | 28 |
| May 2019Dynamic Bond Fund | 295 | 946 | -651 | 19,549 | -312 | +339 | 2.10 L | 28 |
| Apr 2019Dynamic Bond Fund | 985 | 573 | +412 | 19,861 | — | — | 2.13 L | 28 |
“AUM change” is assets, not flow. “Other than flow” is the part of it net flow does not account for: market movement, distributions and scheme changes.