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Corporate Bond Funds

Invest at least 80% in the highest-rated (AA+ and above) corporate bonds.

Funds
21
Average 1Y
5.3%
Average 3Y (p.a.)
7.3%
Average 5Y (p.a.)
6.3%

All corporate bond funds by returns

Corporate Bond Funds with NAV and returns
FundFund houseNAV1Y3Y5YExpenseFund size
Franklin India Corporate Bond FundFranklin Templeton Mutual Fund₹116.376.2%8%6.7%0.26%₹1,379 Cr
Baroda Bnp Paribas Corporate Bond FundBaroda BNP Paribas Mutual Fund₹31.426.1%7.8%0.2%₹275 Cr
AXIS Corporate Bond FundAxis Mutual Fund₹19.385.7%7.7%6.8%0.36%₹7,768 Cr
Nippon India Corporate Bond FundNippon India Mutual Fund₹67.35.4%7.6%6.8%0.37%₹9,051 Cr
ICICI Prudential Corporate Bond FundICICI Prudential Mutual Fund₹33.555.9%7.4%6.7%0.36%₹29,688 Cr
DSP Corporate Bond FundDSP Mutual Fund₹17.496.1%7.4%6%0.3%₹2,816 Cr
Kotak Corporate Bond FundKotak Mahindra Mutual Fund₹4,204.925.3%7.4%6.4%0.36%₹15,095 Cr
HSBC Corporate Bond FundHSBC Mutual Fund₹83.285.4%7.4%0.26%₹6,058 Cr
BANDHAN Corporate Bond FundBandhan Mutual Fund₹21.235.9%7.3%6.1%0.34%₹13,709 Cr
UTI - Corporate Bond FundUTI Mutual Fund₹17.895.3%7.3%6.3%0.32%₹4,718 Cr
Tata Corporate Bond FundTata Mutual Fund₹13.445.2%7.3%0.33%₹2,805 Cr
SBI Corporate Bond FundSBI Mutual Fund₹17.035.2%7.3%6.3%0.37%₹22,133 Cr
PGIM India Corporate Bond FundPGIM India Mutual Fund₹51.175%7.2%6.3%0.37%₹85 Cr
Invesco India Corporate Bond FundInvesco Mutual Fund₹3,621.14.9%7.2%6.1%0.24%₹4,099 Cr
Mirae Asset Corporate Bond FundMirae Asset Mutual Fund₹13.865.3%7.1%6%0.23%₹44 Cr
Aditya Birla Sun Life Corporate Bond FundAditya Birla Sun Life Mutual Fund₹121.734.9%7.1%6.3%0.28%₹22,636 Cr
Sundaram Corporate Bond FundSundaram Mutual Fund₹44.154.9%7.1%6%0.27%₹617 Cr
HDFC Corporate Bond FundHDFC Mutual Fund₹35.234.8%7%6.2%0.38%₹30,286 Cr
Union Corporate Bond FundUnion Mutual Fund₹16.544.5%7%5.8%0.34%₹289 Cr
Trustmf Corporate Bond FundTrust Mutual Fund₹1,277.354.8%6.8%0.26%₹83 Cr
Canara Robeco Corporate Bond FundCanara Robeco Mutual Fund₹24.685%6.7%5.8%0.31%₹106 Cr

Direct plan, Growth option where available. 3Y and 5Y returns are annualised. Past performance does not guarantee future returns.

NAVs as of 20 September 2026. Source: AMFI.