Debt · SEBI scheme category · Aug 2026
Ultra Short Term funds
Published Apr 2019 – Aug 2026 AMFI labels: Ultra Short Duration Fund | Ultra Short Term Fund
Published as Ultra 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 · Ultra Short Term
| Fund house | Average AUM | Share of category | Share of the AMC’s assets |
|---|---|---|---|
| Aditya Birla Sun Life Mutual Fund | 19,646 Cr | 15.5% | 4.5% |
| HDFC Mutual Fund | 16,766 Cr | 13.2% | 1.7% |
| Kotak Mahindra Mutual Fund | 15,925 Cr | 12.6% | 2.6% |
| ICICI Prudential Mutual Fund | 15,512 Cr | 12.2% | 1.3% |
| SBI Mutual Fund | 12,168 Cr | 9.6% | 0.9% |
| Nippon India Mutual Fund | 10,923 Cr | 8.6% | 1.4% |
| Axis Mutual Fund | 5,612 Cr | 4.4% | 1.5% |
| Tata Mutual Fund | 5,449 Cr | 4.3% | 2.4% |
| Bandhan Mutual Fund | 4,511 Cr | 3.6% | 2.2% |
| DSP Mutual Fund | 4,353 Cr | 3.4% | 1.9% |
| UTI Mutual Fund | 3,812 Cr | 3.0% | 1.0% |
| HSBC Mutual Fund | 3,302 Cr | 2.6% | 2.3% |
| Sundaram Mutual Fund | 2,283 Cr | 1.8% | 3.0% |
| Mirae Asset Mutual Fund | 1,666 Cr | 1.3% | 0.7% |
| Invesco Mutual Fund | 1,160 Cr | 0.9% | 0.8% |
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 2026Edelweiss Ultra Short Term Fund | 1 | 715 Cr | Ultra Short Term Fund |
| Aug 2024 | 1 | 567 Cr | Ultra Short Duration Fund |
| May 2021 | 1 | 226 Cr | Ultra Short Duration Fund |
| Oct 2020 | 1 | 227 Cr | Ultra Short Duration Fund |
| Jan 2020 | 1 | 895 Cr | Ultra Short Duration Fund |
| Nov 2019 | 1 | 445 Cr | Ultra Short Duration Fund |
| Oct 2019 | 1 | 134 Cr | Ultra Short Duration Fund |
| Jun 2019 | 2 | 574 Cr | Ultra 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 2026Ultra Short Term Fund | 21,619 | 17,363 | +4,257 | 131,768 | +4,955 | +699 | 7.87 L | 26 |
| Jul 2026Ultra Short Duration Fund | 30,307 | 22,267 | +8,039 | 126,812 | +8,640 | +601 | 7.86 L | 25 |
| Jun 2026Ultra Short Duration Fund | 22,127 | 33,553 | -11,426 | 118,172 | -10,208 | +1,218 | 7.87 L | 25 |
| May 2026Ultra Short Duration Fund | 19,017 | 20,634 | -1,617 | 128,380 | -1,332 | +285 | 7.90 L | 25 |
| Apr 2026Ultra Short Duration Fund | 37,998 | 22,346 | +15,652 | 129,712 | +16,372 | +721 | 7.87 L | 25 |
| Mar 2026Ultra Short Duration Fund | 20,523 | 36,611 | -16,087 | 113,340 | -14,420 | +1,667 | 7.78 L | 25 |
| Feb 2026Ultra Short Duration Fund | 20,712 | 25,086 | -4,374 | 127,760 | -4,722 | -349 | 7.78 L | 25 |
| Jan 2026Ultra Short Duration Fund | 29,442 | 29,187 | +255 | 132,482 | +655 | +400 | 7.69 L | 25 |
| Dec 2025Ultra Short Duration Fund | 24,881 | 42,529 | -17,648 | 131,827 | -16,956 | +692 | 7.66 L | 25 |
| Nov 2025Ultra Short Duration Fund | 30,363 | 22,002 | +8,361 | 148,783 | +9,068 | +707 | 7.63 L | 25 |
| Oct 2025Ultra Short Duration Fund | 37,283 | 22,216 | +15,067 | 139,715 | +15,779 | +713 | 7.44 L | 25 |
| Sep 2025Ultra Short Duration Fund | 22,792 | 36,398 | -13,606 | 123,936 | -12,898 | +708 | 7.35 L | 25 |
| Aug 2025Ultra Short Duration Fund | 22,318 | 21,945 | +374 | 136,834 | +965 | +592 | 7.33 L | 25 |
| Jul 2025Ultra Short Duration Fund | 35,895 | 33,618 | +2,277 | 135,868 | +3,041 | +764 | 7.25 L | 25 |
| Jun 2025Ultra Short Duration Fund | 31,480 | 28,537 | +2,944 | 132,827 | +3,717 | +774 | 7.18 L | 25 |
| May 2025Ultra Short Duration Fund | 20,775 | 18,928 | +1,848 | 129,110 | +2,673 | +826 | 6.96 L | 25 |
| Apr 2025Ultra Short Duration Fund | 41,100 | 14,366 | +26,734 | 126,437 | +27,895 | +1,161 | 6.73 L | 25 |
| Mar 2025Ultra Short Duration Fund | 26,494 | 36,141 | -9,647 | 98,542 | -9,178 | +468 | 6.60 L | 25 |
| Feb 2025Ultra Short Duration Fund | 13,130 | 17,411 | -4,281 | 107,720 | -3,682 | +599 | 6.53 L | 25 |
| Jan 2025Ultra Short Duration Fund | 22,870 | 21,822 | +1,048 | 111,403 | +1,685 | +638 | 6.47 L | 25 |
| Dec 2024Ultra Short Duration Fund | 32,231 | 34,641 | -2,410 | 109,717 | -1,735 | +675 | 6.45 L | 25 |
| Nov 2024Ultra Short Duration Fund | 28,695 | 25,733 | +2,962 | 111,453 | +3,553 | +591 | 6.50 L | 25 |
| Oct 2024Ultra Short Duration Fund | 29,291 | 22,237 | +7,054 | 107,899 | +7,720 | +666 | 6.46 L | 25 |
| Sep 2024Ultra Short Duration Fund | 26,048 | 32,330 | -6,282 | 100,179 | -5,632 | +649 | 6.40 L | 25 |
| Aug 2024Ultra Short Duration Fund | 20,583 | 19,888 | +696 | 105,812 | +1,274 | +578 | 6.40 L | 25 |
| Jul 2024Ultra Short Duration Fund | 30,802 | 22,595 | +8,207 | 104,538 | +8,878 | +671 | 6.32 L | 24 |
| Jun 2024Ultra Short Duration Fund | 22,052 | 24,379 | -2,327 | 95,660 | -1,777 | +550 | 6.31 L | 24 |
| May 2024Ultra Short Duration Fund | 18,759 | 17,113 | +1,647 | 97,438 | +2,212 | +565 | 6.36 L | 24 |
| Apr 2024Ultra Short Duration Fund | 25,203 | 14,098 | +11,105 | 95,225 | +11,664 | +559 | 6.38 L | 24 |
| Mar 2024Ultra Short Duration Fund | 18,962 | 28,097 | -9,135 | 83,561 | -8,510 | +625 | 6.33 L | 24 |
| Feb 2024Ultra Short Duration Fund | 13,264 | 13,627 | -362 | 92,071 | +191 | +554 | 6.36 L | 24 |
| Jan 2024Ultra Short Duration Fund | 15,496 | 12,559 | +2,937 | 91,879 | +3,481 | +544 | 6.39 L | 24 |
| Dec 2023Ultra Short Duration Fund | 15,318 | 21,347 | -6,030 | 88,399 | -5,522 | +508 | 6.41 L | 24 |
| Nov 2023Ultra Short Duration Fund | 12,073 | 13,939 | -1,866 | 93,921 | -1,350 | +515 | 6.42 L | 24 |
| Oct 2023Ultra Short Duration Fund | 17,055 | 14,696 | +2,359 | 95,272 | +2,885 | +526 | 6.42 L | 24 |
| Sep 2023Ultra Short Duration Fund | 16,937 | 22,105 | -5,168 | 92,386 | -4,659 | +509 | 6.44 L | 24 |
| Aug 2023Ultra Short Duration Fund | 14,148 | 18,271 | -4,123 | 97,046 | -3,584 | +539 | 6.46 L | 24 |
| Jul 2023Ultra Short Duration Fund | 19,110 | 16,245 | +2,865 | 100,630 | +3,469 | +604 | 6.47 L | 24 |
| Jun 2023Ultra Short Duration Fund | 18,357 | 20,244 | -1,887 | 97,161 | -1,332 | +555 | 6.38 L | 25 |
| May 2023Ultra Short Duration Fund | 18,860 | 11,275 | +7,585 | 98,493 | +8,198 | +612 | 6.35 L | 25 |
| Apr 2023Ultra Short Duration Fund | 21,919 | 11,257 | +10,663 | 90,295 | +11,173 | +510 | 6.32 L | 25 |
| Mar 2023Ultra Short Duration Fund | 15,316 | 25,596 | -10,281 | 79,123 | -9,683 | +598 | 6.33 L | 25 |
| Feb 2023Ultra Short Duration Fund | 11,619 | 14,049 | -2,430 | 88,805 | -1,998 | +432 | 6.42 L | 25 |
| Jan 2023Ultra Short Duration Fund | 13,773 | 12,008 | +1,765 | 90,804 | +2,240 | +475 | 6.45 L | 25 |
| Dec 2022Ultra Short Duration Fund | 15,645 | 13,908 | +1,737 | 88,563 | +2,213 | +476 | 6.42 L | 25 |
| Nov 2022Ultra Short Duration Fund | 12,754 | 15,636 | -2,882 | 86,350 | -2,387 | +495 | 6.31 L | 25 |
| Oct 2022Ultra Short Duration Fund | 12,481 | 13,626 | -1,145 | 88,737 | -744 | +401 | 6.23 L | 26 |
| Sep 2022Ultra Short Duration Fund | 13,749 | 22,203 | -8,454 | 89,481 | -8,095 | +359 | 6.22 L | 26 |
| Aug 2022Ultra Short Duration Fund | 21,135 | 14,763 | +6,372 | 97,576 | +6,802 | +430 | 6.21 L | 26 |
| Jul 2022Ultra Short Duration Fund | 17,690 | 13,962 | +3,728 | 90,774 | +4,141 | +413 | 6.16 L | 26 |
| Jun 2022Ultra Short Duration Fund | 13,938 | 23,996 | -10,058 | 86,633 | -9,699 | +359 | 6.15 L | 27 |
| May 2022Ultra Short Duration Fund | 11,883 | 18,988 | -7,105 | 96,332 | -6,988 | +117 | 6.15 L | 27 |
| Apr 2022Ultra Short Duration Fund | 30,924 | 15,835 | +15,089 | 103,320 | +15,371 | +282 | 6.19 L | 27 |
| Mar 2022Ultra Short Duration Fund | 21,426 | 24,266 | -2,840 | 87,948 | -2,488 | +352 | 6.18 L | 27 |
| Feb 2022Ultra Short Duration Fund | 15,430 | 16,745 | -1,315 | 90,437 | -1,035 | +280 | 6.23 L | 27 |
| Jan 2022Ultra Short Duration Fund | 16,367 | 13,397 | +2,969 | 91,472 | +3,274 | +305 | 6.29 L | 27 |
| Dec 2021Ultra Short Duration Fund | 17,892 | 26,207 | -8,315 | 88,198 | -8,136 | +179 | 6.35 L | 27 |
| Nov 2021Ultra Short Duration Fund | 16,634 | 21,205 | -4,571 | 96,333 | -4,234 | +337 | 6.43 L | 28 |
| Oct 2021Ultra Short Duration Fund | 21,113 | 16,602 | +4,512 | 100,567 | +4,739 | +228 | 6.49 L | 28 |
| Sep 2021Ultra Short Duration Fund | 18,614 | 29,523 | -10,909 | 95,828 | -10,617 | +292 | 6.50 L | 28 |
| Aug 2021Ultra Short Duration Fund | 18,152 | 16,262 | +1,890 | 106,445 | +2,272 | +382 | 6.47 L | 28 |
| Jul 2021Ultra Short Duration Fund | 24,063 | 17,407 | +6,656 | 104,173 | +7,075 | +419 | 6.52 L | 28 |
| Jun 2021Ultra Short Duration Fund | 16,311 | 18,750 | -2,440 | 97,098 | -2,138 | +302 | 6.54 L | 28 |
| May 2021Ultra Short Duration Fund | 17,296 | 14,372 | +2,924 | 99,236 | +3,209 | +285 | 6.48 L | 28 |
| Apr 2021Ultra Short Duration Fund | 24,494 | 15,576 | +8,919 | 96,027 | +4,030 | -4,889 | 6.45 L | 27 |
| Mar 2021Ultra Short Duration Fund | 15,849 | 22,580 | -6,731 | 91,998 | -6,263 | +469 | 8.00 L | 28 |
| Feb 2021Ultra Short Duration Fund | 14,381 | 17,327 | -2,945 | 98,260 | -2,649 | +296 | 7.98 L | 29 |
| Jan 2021Ultra Short Duration Fund | 20,706 | 20,154 | +552 | 100,909 | +752 | +200 | 7.82 L | 29 |
| Dec 2020Ultra Short Duration Fund | 19,578 | 24,680 | -5,102 | 100,157 | -4,774 | +329 | 7.57 L | 29 |
| Nov 2020Ultra Short Duration Fund | 17,837 | 12,463 | +5,374 | 104,931 | +5,772 | +398 | 7.33 L | 29 |
| Oct 2020Ultra Short Duration Fund | 24,672 | 11,018 | +13,654 | 99,159 | +14,115 | +461 | 7.11 L | 29 |
| Sep 2020Ultra Short Duration Fund | 15,377 | 20,244 | -4,867 | 85,043 | -4,561 | +307 | 6.95 L | 28 |
| Aug 2020Ultra Short Duration Fund | 14,745 | 9,317 | +5,428 | 89,604 | +5,781 | +353 | 6.78 L | 29 |
| Jul 2020Ultra Short Duration Fund | 21,566 | 12,233 | +9,333 | 83,823 | +10,622 | +1,290 | 6.60 L | 29 |
| Jun 2020Ultra Short Duration Fund | 11,808 | 10,422 | +1,386 | 73,201 | +1,995 | +608 | 6.39 L | 29 |
| May 2020Ultra Short Duration Fund | 9,450 | 7,926 | +1,525 | 71,206 | +2,156 | +631 | 6.25 L | 29 |
| Apr 2020Ultra Short Duration Fund | 11,334 | 14,753 | -3,419 | 69,050 | -3,176 | +243 | 6.27 L | 29 |
| Mar 2020Ultra Short Duration Fund | 11,796 | 40,849 | -29,053 | 72,226 | -28,738 | +315 | 6.50 L | 29 |
| Feb 2020Ultra Short Duration Fund | 15,922 | 15,962 | -40.18 | 100,965 | +461 | +501 | 7.02 L | 29 |
| Jan 2020Ultra Short Duration Fund | 25,319 | 17,167 | +8,153 | 100,503 | +7,950 | -203 | 9.23 L | 29 |
| Dec 2019Ultra Short Duration Fund | 14,379 | 16,902 | -2,523 | 92,554 | -2,095 | +428 | 7.00 L | 28 |
| Nov 2019Ultra Short Duration Fund | 14,926 | 14,152 | +774 | 94,648 | +1,287 | +512 | 6.84 L | 28 |
| Oct 2019Ultra Short Duration Fund | 17,870 | 11,682 | +6,187 | 93,362 | +6,812 | +625 | 6.74 L | 27 |
| Sep 2019Ultra Short Duration Fund | 12,450 | 19,234 | -6,783 | 86,549 | -6,402 | +381 | 6.54 L | 26 |
| Aug 2019Ultra Short Duration Fund | 12,734 | 9,905 | +2,829 | 92,951 | +3,382 | +553 | 6.39 L | 26 |
| Jul 2019Ultra Short Duration Fund | 12,621 | 12,020 | +601 | 89,569 | +1,427 | +826 | 6.25 L | 26 |
| Jun 2019Ultra Short Duration Fund | 12,116 | 14,042 | -1,926 | 88,141 | -1,606 | +320 | 6.16 L | 26 |
| May 2019Ultra Short Duration Fund | 14,364 | 13,174 | +1,191 | 89,747 | +2,603 | +1,412 | 6.07 L | 25 |
| Apr 2019Ultra Short Duration Fund | 21,187 | 10,150 | +11,037 | 87,145 | — | — | 5.91 L | 25 |
“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.