Debt · SEBI scheme category · Aug 2026
Short Term funds
Published Apr 2019 – Aug 2026 AMFI labels: Short Duration Fund | Short Term Fund
Published as Short 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 · Short Term
| Fund house | Average AUM | Share of category | Share of the AMC’s assets |
|---|---|---|---|
| ICICI Prudential Mutual Fund | 20,833 Cr | 19.0% | 1.8% |
| Kotak Mahindra Mutual Fund | 15,682 Cr | 14.3% | 2.6% |
| HDFC Mutual Fund | 15,174 Cr | 13.8% | 1.6% |
| SBI Mutual Fund | 14,006 Cr | 12.8% | 1.1% |
| Axis Mutual Fund | 8,708 Cr | 7.9% | 2.3% |
| Nippon India Mutual Fund | 7,205 Cr | 6.6% | 0.9% |
| Aditya Birla Sun Life Mutual Fund | 6,784 Cr | 6.2% | 1.6% |
| Bandhan Mutual Fund | 5,478 Cr | 5.0% | 2.7% |
| HSBC Mutual Fund | 3,951 Cr | 3.6% | 2.7% |
| DSP Mutual Fund | 3,312 Cr | 3.0% | 1.4% |
| Tata Mutual Fund | 3,033 Cr | 2.8% | 1.3% |
| UTI Mutual Fund | 2,460 Cr | 2.2% | 0.6% |
| Invesco Mutual Fund | 789 Cr | 0.7% | 0.5% |
| Mirae Asset Mutual Fund | 562 Cr | 0.5% | 0.2% |
| Canara Robeco Mutual Fund | 309 Cr | 0.3% | 0.3% |
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 |
|---|---|---|---|
| Aug 2026Franklin India Short Term Fund | 1 | 368 Cr | Short Term Fund |
| Jan 2026JioBlackRock Short Duration Fund | 1 | 292 Cr | Short Duration Fund |
| Jan 2025 | 1 | 520 Cr | Short Duration Fund |
| Aug 2022 | 1 | 157 Cr | Short Duration Fund |
| Aug 2021 | 1 | 253 Cr | Short Duration Fund |
| Feb 2021 | 1 | 167 Cr | Short 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 2026Short Term Fund | 2,640 | 6,898 | -4,259 | 105,045 | -3,925 | +334 | 5.79 L | 26 |
| Jul 2026Short Duration Fund | 3,709 | 2,868 | +840 | 108,970 | +1,158 | +317 | 5.69 L | 25 |
| Jun 2026Short Duration Fund | 5,104 | 10,991 | -5,887 | 107,813 | -3,937 | +1,950 | 5.67 L | 25 |
| May 2026Short Duration Fund | 1,901 | 5,788 | -3,887 | 111,750 | -3,706 | +181 | 5.67 L | 25 |
| Apr 2026Short Duration Fund | 8,642 | 4,725 | +3,917 | 115,456 | +4,605 | +688 | 5.69 L | 25 |
| Mar 2026Short Duration Fund | 13,663 | 35,857 | -22,194 | 110,851 | -22,548 | -354 | 5.67 L | 25 |
| Feb 2026Short Duration Fund | 2,456 | 4,373 | -1,917 | 133,399 | -411 | +1,506 | 5.69 L | 25 |
| Jan 2026Short Duration Fund | 5,931 | 8,820 | -2,889 | 133,810 | -2,791 | +98.04 | 5.64 L | 25 |
| Dec 2025Short Duration Fund | 3,648 | 9,338 | -5,690 | 136,601 | -5,440 | +249 | 5.62 L | 24 |
| Nov 2025Short Duration Fund | 4,756 | 2,650 | +2,106 | 142,041 | +2,916 | +810 | 5.54 L | 24 |
| Oct 2025Short Duration Fund | 6,049 | 3,280 | +2,770 | 139,125 | +3,834 | +1,064 | 5.39 L | 24 |
| Sep 2025Short Duration Fund | 4,070 | 6,243 | -2,173 | 135,291 | -1,292 | +881 | 5.25 L | 24 |
| Aug 2025Short Duration Fund | 4,807 | 4,242 | +565 | 136,583 | +562 | -3.10 | 5.18 L | 24 |
| Jul 2025Short Duration Fund | 6,867 | 5,038 | +1,829 | 136,021 | +2,684 | +854 | 5.06 L | 24 |
| Jun 2025Short Duration Fund | 20,113 | 9,836 | +10,277 | 133,337 | +10,577 | +301 | 4.88 L | 24 |
| May 2025Short Duration Fund | 7,634 | 5,844 | +1,790 | 122,760 | +3,051 | +1,261 | 4.75 L | 24 |
| Apr 2025Short Duration Fund | 10,139 | 5,376 | +4,763 | 119,709 | +6,388 | +1,624 | 4.63 L | 24 |
| Mar 2025Short Duration Fund | 14,469 | 15,645 | -1,176 | 113,321 | +97.25 | +1,273 | 4.54 L | 24 |
| Feb 2025Short Duration Fund | 3,742 | 3,012 | +729 | 113,224 | +1,275 | +546 | 4.49 L | 24 |
| Jan 2025Short Duration Fund | 3,464 | 5,530 | -2,066 | 111,949 | -1,318 | +748 | 4.45 L | 24 |
| Dec 2024Short Duration Fund | 12,299 | 14,879 | -2,581 | 113,267 | -2,010 | +571 | 4.43 L | 23 |
| Nov 2024Short Duration Fund | 2,188 | 2,643 | -454 | 115,277 | +229 | +684 | 4.43 L | 23 |
| Oct 2024Short Duration Fund | 4,874 | 3,512 | +1,362 | 115,047 | +1,979 | +617 | 4.42 L | 23 |
| Sep 2024Short Duration Fund | 6,614 | 5,179 | +1,435 | 113,068 | +2,328 | +893 | 4.39 L | 23 |
| Aug 2024Short Duration Fund | 6,916 | 2,557 | +4,359 | 110,740 | +5,116 | +756 | 4.39 L | 23 |
| Jul 2024Short Duration Fund | 4,904 | 2,301 | +2,603 | 105,624 | +3,543 | +940 | 4.39 L | 23 |
| Jun 2024Short Duration Fund | 9,147 | 10,242 | -1,094 | 102,082 | -578 | +517 | 4.39 L | 23 |
| May 2024Short Duration Fund | 2,281 | 2,353 | -72.73 | 102,659 | +784 | +857 | 4.42 L | 23 |
| Apr 2024Short Duration Fund | 4,656 | 2,122 | +2,533 | 101,875 | +2,871 | +338 | 4.49 L | 23 |
| Mar 2024Short Duration Fund | 4,761 | 11,211 | -6,450 | 99,004 | -5,792 | +658 | 4.56 L | 23 |
| Feb 2024Short Duration Fund | 4,127 | 1,781 | +2,346 | 104,797 | +3,059 | +713 | 4.57 L | 23 |
| Jan 2024Short Duration Fund | 1,787 | 2,009 | -223 | 101,738 | +427 | +650 | 4.62 L | 23 |
| Dec 2023Short Duration Fund | 12,039 | 11,444 | +595 | 101,311 | +1,164 | +569 | 4.72 L | 23 |
| Nov 2023Short Duration Fund | 1,474 | 1,888 | -414 | 100,147 | +238 | +652 | 4.79 L | 23 |
| Oct 2023Short Duration Fund | 3,173 | 1,892 | +1,281 | 99,909 | +1,621 | +341 | 4.83 L | 23 |
| Sep 2023Short Duration Fund | 5,369 | 6,929 | -1,560 | 98,287 | -1,166 | +395 | 4.89 L | 23 |
| Aug 2023Short Duration Fund | 3,691 | 4,184 | -493 | 99,453 | +71.17 | +564 | 4.94 L | 24 |
| Jul 2023Short Duration Fund | 1,574 | 1,879 | -305 | 99,382 | +243 | +548 | 5.00 L | 24 |
| Jun 2023Short Duration Fund | 1,810 | 1,997 | -187 | 99,139 | +154 | +341 | 5.03 L | 25 |
| May 2023Short Duration Fund | 5,609 | 1,554 | +4,055 | 98,985 | +4,797 | +742 | 5.04 L | 25 |
| Apr 2023Short Duration Fund | 3,349 | 1,566 | +1,783 | 94,188 | +2,949 | +1,167 | 5.05 L | 25 |
| Mar 2023Short Duration Fund | 8,247 | 8,566 | -319 | 91,239 | +268 | +587 | 5.07 L | 25 |
| Feb 2023Short Duration Fund | 2,530 | 2,118 | +412 | 90,970 | +665 | +254 | 5.08 L | 25 |
| Jan 2023Short Duration Fund | 1,989 | 5,848 | -3,859 | 90,305 | -3,438 | +421 | 5.11 L | 25 |
| Dec 2022Short Duration Fund | 3,891 | 4,674 | -783 | 93,743 | -383 | +400 | 5.17 L | 25 |
| Nov 2022Short Duration Fund | 2,299 | 4,213 | -1,914 | 94,126 | -1,146 | +768 | 5.21 L | 25 |
| Oct 2022Short Duration Fund | 1,921 | 4,387 | -2,466 | 95,272 | -2,000 | +466 | 5.26 L | 26 |
| Sep 2022Short Duration Fund | 3,509 | 4,540 | -1,031 | 97,272 | -1,590 | -559 | 5.31 L | 26 |
| Aug 2022Short Duration Fund | 6,815 | 4,225 | +2,590 | 98,863 | +3,710 | +1,120 | 5.36 L | 26 |
| Jul 2022Short Duration Fund | 950 | 2,822 | -1,872 | 95,153 | -1,103 | +769 | 5.40 L | 25 |
| Jun 2022Short Duration Fund | 643 | 7,292 | -6,649 | 96,256 | -6,301 | +348 | 5.46 L | 25 |
| May 2022Short Duration Fund | 1,823 | 10,426 | -8,603 | 102,557 | -8,888 | -285 | 5.56 L | 25 |
| Apr 2022Short Duration Fund | 3,895 | 8,347 | -4,452 | 111,445 | -4,411 | +40.58 | 5.69 L | 25 |
| Mar 2022Short Duration Fund | 3,202 | 12,257 | -9,055 | 115,856 | -8,708 | +347 | 5.76 L | 25 |
| Feb 2022Short Duration Fund | 1,966 | 14,058 | -12,092 | 124,564 | -11,658 | +434 | 5.85 L | 26 |
| Jan 2022Short Duration Fund | 4,532 | 7,420 | -2,889 | 136,222 | -2,700 | +188 | 5.95 L | 26 |
| Dec 2021Short Duration Fund | 8,311 | 10,343 | -2,032 | 138,922 | -2,356 | -324 | 6.09 L | 26 |
| Nov 2021Short Duration Fund | 7,139 | 6,653 | +486 | 141,278 | +1,112 | +626 | 6.20 L | 27 |
| Oct 2021Short Duration Fund | 6,912 | 9,579 | -2,666 | 140,166 | -2,487 | +179 | 6.30 L | 27 |
| Sep 2021Short Duration Fund | 5,447 | 5,382 | +64.48 | 142,653 | +615 | +551 | 6.38 L | 27 |
| Aug 2021Short Duration Fund | 8,677 | 8,264 | +413 | 142,038 | +1,348 | +935 | 6.37 L | 27 |
| Jul 2021Short Duration Fund | 4,521 | 5,948 | -1,427 | 140,690 | -706 | +721 | 6.44 L | 26 |
| Jun 2021Short Duration Fund | 5,973 | 7,030 | -1,057 | 141,396 | -864 | +192 | 6.53 L | 26 |
| May 2021Short Duration Fund | 6,312 | 7,346 | -1,034 | 142,260 | -347 | +687 | 6.48 L | 26 |
| Apr 2021Short Duration Fund | 7,197 | 5,951 | +1,247 | 142,608 | -3,054 | -4,301 | 6.41 L | 26 |
| Mar 2021Short Duration Fund | 6,129 | 15,154 | -9,025 | 145,662 | -8,052 | +973 | 6.99 L | 27 |
| Feb 2021Short Duration Fund | 3,850 | 14,137 | -10,286 | 153,714 | -10,876 | -590 | 7.10 L | 27 |
| Jan 2021Short Duration Fund | 14,130 | 7,238 | +6,893 | 164,591 | +6,814 | -78.45 | 7.09 L | 26 |
| Dec 2020Short Duration Fund | 13,107 | 9,154 | +3,954 | 157,776 | +4,757 | +803 | 6.79 L | 26 |
| Nov 2020Short Duration Fund | 16,676 | 3,582 | +13,094 | 153,019 | +14,291 | +1,197 | 6.12 L | 26 |
| Oct 2020Short Duration Fund | 22,130 | 6,974 | +15,156 | 138,728 | +16,812 | +1,656 | 5.50 L | 26 |
| Sep 2020Short Duration Fund | 15,838 | 11,985 | +3,853 | 121,916 | +4,568 | +715 | 5.09 L | 26 |
| Aug 2020Short Duration Fund | 10,092 | 9,894 | +199 | 117,348 | -168 | -367 | 4.77 L | 27 |
| Jul 2020Short Duration Fund | 21,457 | 9,947 | +11,510 | 117,516 | +12,735 | +1,226 | 4.43 L | 27 |
| Jun 2020Short Duration Fund | 11,490 | 3,167 | +8,324 | 104,781 | +9,831 | +1,507 | 3.89 L | 28 |
| May 2020Short Duration Fund | 6,874 | 4,834 | +2,040 | 94,950 | +3,683 | +1,643 | 3.60 L | 28 |
| Apr 2020Short Duration Fund | 9,864 | 12,173 | -2,309 | 91,266 | -2,178 | +131 | 3.50 L | 28 |
| Mar 2020Short Duration Fund | 4,812 | 15,850 | -11,039 | 93,444 | -11,235 | -196 | 3.60 L | 28 |
| Feb 2020Short Duration Fund | 8,174 | 4,098 | +4,076 | 104,679 | +5,290 | +1,214 | 3.67 L | 28 |
| Jan 2020Short Duration Fund | 6,124 | 3,221 | +2,904 | 99,389 | +3,012 | +108 | 5.00 L | 28 |
| Dec 2019Short Duration Fund | 6,995 | 3,538 | +3,457 | 96,378 | +3,573 | +116 | 3.38 L | 28 |
| Nov 2019Short Duration Fund | 6,078 | 2,588 | +3,490 | 92,805 | +4,169 | +679 | 3.22 L | 28 |
| Oct 2019Short Duration Fund | 5,011 | 2,895 | +2,116 | 88,636 | +3,054 | +938 | 3.07 L | 28 |
| Sep 2019Short Duration Fund | 4,385 | 3,240 | +1,145 | 85,582 | +1,453 | +308 | 2.96 L | 28 |
| Aug 2019Short Duration Fund | 3,853 | 2,858 | +994 | 84,129 | +1,618 | +623 | 2.85 L | 28 |
| Jul 2019Short Duration Fund | 3,740 | 3,154 | +586 | 82,511 | +1,825 | +1,238 | 2.76 L | 28 |
| Jun 2019Short Duration Fund | 2,415 | 3,023 | -607 | 80,687 | -1,009 | -401 | 2.71 L | 28 |
| May 2019Short Duration Fund | 3,508 | 4,824 | -1,316 | 81,695 | +974 | +2,290 | 2.68 L | 29 |
| Apr 2019Short Duration Fund | 5,215 | 2,444 | +2,771 | 80,721 | — | — | 2.63 L | 29 |
“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.