Debt · SEBI scheme category · Aug 2026
Medium Term funds
Published Apr 2019 – Aug 2026 AMFI labels: Medium Duration Fund | Medium Term Fund
Published as Medium Duration 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 · Medium Term
| Fund house | Average AUM | Share of category | Share of the AMC’s assets |
|---|---|---|---|
| SBI Mutual Fund | 6,459 Cr | 25.5% | 0.5% |
| ICICI Prudential Mutual Fund | 5,464 Cr | 21.6% | 0.5% |
| HDFC Mutual Fund | 3,707 Cr | 14.6% | 0.4% |
| Aditya Birla Sun Life Mutual Fund | 3,126 Cr | 12.3% | 0.7% |
| Axis Mutual Fund | 2,085 Cr | 8.2% | 0.6% |
| Kotak Mahindra Mutual Fund | 1,831 Cr | 7.2% | 0.3% |
| Bandhan Mutual Fund | 1,303 Cr | 5.1% | 0.6% |
| HSBC Mutual Fund | 718 Cr | 2.8% | 0.5% |
| DSP Mutual Fund | 271 Cr | 1.1% | 0.1% |
| Invesco Mutual Fund | 169 Cr | 0.7% | 0.1% |
| Nippon India Mutual Fund | 146 Cr | 0.6% | 0.0% |
| UTI Mutual Fund | 36.60 Cr | 0.1% | 0.0% |
| Sundaram Mutual Fund | 34.29 Cr | 0.1% | 0.0% |
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 | 373 Cr | Medium Duration Fund |
| Sep 2020 | 1 | 369 Cr | Medium Duration 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 2026Medium Term Fund | 248 | 369 | -120 | 25,436 | -35.83 | +84.67 | 2.39 L | 13 |
| Jul 2026Medium Duration Fund | 441 | 446 | -4.96 | 25,472 | +78.36 | +83.32 | 2.39 L | 13 |
| Jun 2026Medium Duration Fund | 192 | 435 | -243 | 25,393 | +254 | +497 | 2.39 L | 13 |
| May 2026Medium Duration Fund | 146 | 410 | -263 | 25,139 | -180 | +83.24 | 2.39 L | 13 |
| Apr 2026Medium Duration Fund | 310 | 702 | -392 | 25,319 | -209 | +183 | 2.41 L | 13 |
| Mar 2026Medium Duration Fund | 1,729 | 2,443 | -714 | 25,529 | -848 | -134 | 2.41 L | 13 |
| Feb 2026Medium Duration Fund | 388 | 458 | -70.26 | 26,377 | +148 | +218 | 2.42 L | 13 |
| Jan 2026Medium Duration Fund | 276 | 384 | -108 | 26,229 | -23.28 | +84.35 | 2.41 L | 13 |
| Dec 2025Medium Duration Fund | 413 | 642 | -229 | 26,252 | -154 | +75.55 | 2.41 L | 13 |
| Nov 2025Medium Duration Fund | 386 | 399 | -13.63 | 26,406 | +152 | +165 | 2.40 L | 13 |
| Oct 2025Medium Duration Fund | 685 | 295 | +390 | 26,254 | +592 | +203 | 2.37 L | 13 |
| Sep 2025Medium Duration Fund | 795 | 952 | -157 | 25,662 | +71.86 | +229 | 2.35 L | 13 |
| Aug 2025Medium Duration Fund | 502 | 390 | +112 | 25,590 | +76.69 | -35.28 | 2.33 L | 13 |
| Jul 2025Medium Duration Fund | 583 | 559 | +23.98 | 25,513 | +177 | +153 | 2.31 L | 13 |
| Jun 2025Medium Duration Fund | 379 | 440 | -60.98 | 25,336 | -29.61 | +31.37 | 2.27 L | 13 |
| May 2025Medium Duration Fund | 346 | 393 | -47.11 | 25,366 | +202 | +249 | 2.23 L | 13 |
| Apr 2025Medium Duration Fund | 665 | 531 | +134 | 25,164 | +497 | +363 | 2.19 L | 13 |
| Mar 2025Medium Duration Fund | 272 | 844 | -572 | 24,666 | -274 | +298 | 2.15 L | 13 |
| Feb 2025Medium Duration Fund | 201 | 380 | -178 | 24,940 | -38.69 | +140 | 2.13 L | 13 |
| Jan 2025Medium Duration Fund | 223 | 443 | -220 | 24,979 | -112 | +108 | 2.11 L | 13 |
| Dec 2024Medium Duration Fund | 1,444 | 2,020 | -576 | 25,091 | -449 | +127 | 2.12 L | 14 |
| Nov 2024Medium Duration Fund | 167 | 368 | -201 | 25,541 | -45.20 | +156 | 2.12 L | 14 |
| Oct 2024Medium Duration Fund | 409 | 559 | -149 | 25,586 | -16.31 | +133 | 2.12 L | 14 |
| Sep 2024Medium Duration Fund | 935 | 629 | +305 | 25,602 | +520 | +215 | 2.12 L | 14 |
| Aug 2024Medium Duration Fund | 685 | 628 | +57.01 | 25,082 | +251 | +194 | 2.16 L | 15 |
| Jul 2024Medium Duration Fund | 162 | 532 | -370 | 24,831 | -153 | +217 | 2.17 L | 15 |
| Jun 2024Medium Duration Fund | 179 | 640 | -462 | 24,983 | -312 | +150 | 2.20 L | 15 |
| May 2024Medium Duration Fund | 184 | 724 | -539 | 25,295 | -295 | +244 | 2.23 L | 15 |
| Apr 2024Medium Duration Fund | 212 | 637 | -425 | 25,590 | -385 | +39.56 | 2.27 L | 15 |
| Mar 2024Medium Duration Fund | 171 | 535 | -364 | 25,976 | -182 | +182 | 2.30 L | 15 |
| Feb 2024Medium Duration Fund | 220 | 607 | -388 | 26,158 | -186 | +202 | 2.32 L | 15 |
| Jan 2024Medium Duration Fund | 396 | 607 | -211 | 26,344 | -34.46 | +176 | 2.35 L | 15 |
| Dec 2023Medium Duration Fund | 154 | 590 | -436 | 26,378 | -221 | +216 | 2.39 L | 15 |
| Nov 2023Medium Duration Fund | 134 | 414 | -280 | 26,599 | -97.28 | +183 | 2.42 L | 15 |
| Oct 2023Medium Duration Fund | 126 | 519 | -393 | 26,696 | -331 | +62.05 | 2.45 L | 15 |
| Sep 2023Medium Duration Fund | 137 | 556 | -419 | 27,027 | -327 | +91.61 | 2.47 L | 15 |
| Aug 2023Medium Duration Fund | 245 | 445 | -201 | 27,354 | -49.70 | +151 | 2.50 L | 15 |
| Jul 2023Medium Duration Fund | 358 | 426 | -67.51 | 27,404 | +54.75 | +122 | 2.53 L | 15 |
| Jun 2023Medium Duration Fund | 349 | 477 | -128 | 27,349 | -69.89 | +58.16 | 2.55 L | 15 |
| May 2023Medium Duration Fund | 257 | 465 | -209 | 27,419 | +31.36 | +240 | 2.56 L | 15 |
| Apr 2023Medium Duration Fund | 514 | 509 | +5.66 | 27,388 | +297 | +292 | 2.56 L | 15 |
| Mar 2023Medium Duration Fund | 2,072 | 1,103 | +969 | 27,091 | +1,224 | +255 | 2.56 L | 15 |
| Feb 2023Medium Duration Fund | 358 | 653 | -294 | 25,867 | -246 | +48.86 | 2.52 L | 15 |
| Jan 2023Medium Duration Fund | 424 | 501 | -76.30 | 26,112 | +36.72 | +113 | 2.53 L | 15 |
| Dec 2022Medium Duration Fund | 385 | 2,185 | -1,800 | 26,076 | -1,687 | +114 | 2.54 L | 15 |
| Nov 2022Medium Duration Fund | 254 | 718 | -464 | 27,762 | -198 | +266 | 2.55 L | 15 |
| Oct 2022Medium Duration Fund | 246 | 600 | -354 | 27,960 | -244 | +110 | 2.57 L | 15 |
| Sep 2022Medium Duration Fund | 266 | 935 | -669 | 28,204 | -766 | -96.69 | 2.59 L | 15 |
| Aug 2022Medium Duration Fund | 495 | 597 | -102 | 28,970 | +131 | +233 | 2.63 L | 16 |
| Jul 2022Medium Duration Fund | 178 | 723 | -546 | 28,838 | -52.47 | +493 | 2.66 L | 16 |
| Jun 2022Medium Duration Fund | 151 | 1,379 | -1,228 | 28,891 | -1,145 | +82.93 | 2.68 L | 16 |
| May 2022Medium Duration Fund | 169 | 1,392 | -1,222 | 30,036 | -1,460 | -237 | 2.73 L | 16 |
| Apr 2022Medium Duration Fund | 399 | 1,763 | -1,364 | 31,496 | -1,487 | -124 | 2.78 L | 16 |
| Mar 2022Medium Duration Fund | 387 | 1,187 | -800 | 32,983 | -859 | -58.26 | 2.83 L | 16 |
| Feb 2022Medium Duration Fund | 315 | 1,377 | -1,062 | 33,842 | -855 | +207 | 2.84 L | 16 |
| Jan 2022Medium Duration Fund | 244 | 992 | -748 | 34,697 | -693 | +54.93 | 2.89 L | 16 |
| Dec 2021Medium Duration Fund | 625 | 1,185 | -560 | 35,390 | -530 | +30.34 | 2.94 L | 16 |
| Nov 2021Medium Duration Fund | 1,211 | 1,740 | -529 | 35,920 | -332 | +197 | 2.98 L | 16 |
| Oct 2021Medium Duration Fund | 2,067 | 756 | +1,311 | 36,251 | +1,338 | +27.34 | 3.01 L | 16 |
| Sep 2021Medium Duration Fund | 2,966 | 867 | +2,099 | 34,913 | +2,266 | +167 | 3.02 L | 16 |
| Aug 2021Medium Duration Fund | 1,023 | 827 | +196 | 32,647 | +434 | +238 | 2.99 L | 16 |
| Jul 2021Medium Duration Fund | 2,309 | 1,518 | +792 | 32,213 | +1,002 | +210 | 2.99 L | 16 |
| Jun 2021Medium Duration Fund | 1,137 | 1,132 | +4.80 | 31,211 | +76.01 | +71.21 | 2.93 L | 15 |
| May 2021Medium Duration Fund | 865 | 457 | +408 | 31,135 | +606 | +198 | 2.88 L | 15 |
| Apr 2021Medium Duration Fund | 1,250 | 910 | +340 | 30,529 | -1,211 | -1,551 | 2.85 L | 15 |
| Mar 2021Medium Duration Fund | 1,904 | 1,318 | +586 | 31,740 | +862 | +276 | 3.00 L | 16 |
| Feb 2021Medium Duration Fund | 1,199 | 1,379 | -180 | 30,879 | -350 | -170 | 2.98 L | 17 |
| Jan 2021Medium Duration Fund | 2,381 | 540 | +1,842 | 31,228 | +1,875 | +33.53 | 2.93 L | 17 |
| Dec 2020Medium Duration Fund | 2,254 | 436 | +1,818 | 29,353 | +1,977 | +159 | 3.10 L | 19 |
| Nov 2020Medium Duration Fund | 2,066 | 305 | +1,761 | 27,376 | +2,082 | +321 | 2.92 L | 19 |
| Oct 2020Medium Duration Fund | 1,898 | 332 | +1,566 | 25,294 | +1,894 | +328 | 2.74 L | 19 |
| Sep 2020Medium Duration Fund | 1,763 | 459 | +1,304 | 23,400 | +1,565 | +261 | 2.59 L | 19 |
| Aug 2020Medium Duration Fund | 1,493 | 491 | +1,002 | 21,835 | +865 | -137 | 2.41 L | 18 |
| Jul 2020Medium Duration Fund | 1,202 | 823 | +379 | 20,970 | +676 | +297 | 2.33 L | 19 |
| Jun 2020Medium Duration Fund | 427 | 653 | -227 | 20,294 | +83.37 | +310 | 1.99 L | 18 |
| May 2020Medium Duration Fund | 497 | 2,017 | -1,520 | 20,210 | -1,141 | +379 | 1.97 L | 18 |
| Apr 2020Medium Duration Fund | 265 | 6,629 | -6,364 | 21,351 | -6,939 | -575 | 2.02 L | 18 |
| Mar 2020Medium Duration Fund | 672 | 2,836 | -2,164 | 28,290 | -2,743 | -578 | 2.21 L | 18 |
| Feb 2020Medium Duration Fund | 952 | 788 | +164 | 31,033 | +593 | +429 | 2.26 L | 17 |
| Jan 2020Medium Duration Fund | 659 | 912 | -253 | 30,440 | -165 | +87.44 | 2.66 L | 16 |
| Dec 2019Medium Duration Fund | 685 | 1,204 | -519 | 30,605 | -455 | +63.59 | 2.22 L | 16 |
| Nov 2019Medium Duration Fund | 619 | 1,546 | -928 | 31,061 | -619 | +309 | 2.23 L | 16 |
| Oct 2019Medium Duration Fund | 525 | 1,303 | -779 | 31,680 | -680 | +99.11 | 2.26 L | 16 |
| Sep 2019Medium Duration Fund | 496 | 1,220 | -723 | 32,359 | -547 | +177 | 2.27 L | 16 |
| Aug 2019Medium Duration Fund | 551 | 1,112 | -561 | 32,906 | -447 | +114 | 2.27 L | 16 |
| Jul 2019Medium Duration Fund | 762 | 1,699 | -937 | 33,353 | -487 | +449 | 2.28 L | 16 |
| Jun 2019Medium Duration Fund | 273 | 1,432 | -1,159 | 33,840 | -1,395 | -236 | 2.32 L | 16 |
| May 2019Medium Duration Fund | 433 | 2,496 | -2,063 | 35,235 | -1,322 | +742 | 2.37 L | 17 |
| Apr 2019Medium Duration Fund | 698 | 1,229 | -531 | 36,556 | — | — | 2.43 L | 17 |
“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.