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Gilt Funds

Invest at least 80% in government securities. No default risk, but prices move with interest rates.

Funds
23
Average 1Y
3.6%
Average 3Y (p.a.)
6.3%
Average 5Y (p.a.)
5.7%

All gilt funds by returns

Gilt Funds with NAV and returns
FundFund houseNAV1Y3Y5YExpenseFund size
Bandhan Gilt FundBandhan Mutual Fund₹40.827.7%7.9%6.4%0.56%₹1,883 Cr
Axis Gilt FundAxis Mutual Fund₹28.464.5%7.1%6%0.46%₹341 Cr
ICICI Prudential Gilt FundICICI Prudential Mutual Fund₹116.454.5%7%6.4%0.57%₹7,950 Cr
DSP Gilt FundDSP Mutual Fund₹105.93.7%6.7%6%0.59%₹1,213 Cr
UTI - Gilt FundUTI Mutual Fund₹68.345.4%6.7%5.8%0.69%₹420 Cr
SBI Gilt FundSBI Mutual Fund₹72.734.1%6.6%6.2%0.5%₹8,215 Cr
Invesco India Gilt FundInvesco Mutual Fund₹3,224.193.2%6.5%5.6%0.39%₹111 Cr
Baroda Bnp Paribas Gilt FundBaroda BNP Paribas Mutual Fund₹48.323.3%6.5%5.6%0.14%₹575 Cr
Franklin India Gilt FundFranklin Templeton Mutual Fund₹67.695.3%6.4%5.4%0.64%₹147 Cr
Tata Gilt FundTata Mutual Fund₹90.473.6%6.4%5.9%0.31%₹788 Cr
HDFC Gilt FundHDFC Mutual Fund₹60.293.4%6.3%5.4%0.46%₹2,017 Cr
Nippon India Gilt FundNippon India Mutual Fund₹44.283.8%6.3%5.6%0.52%₹1,517 Cr
PGIM India Gilt FundPGIM India Mutual Fund₹33.422.5%6.1%5.5%0.52%₹87 Cr
Edelweiss Gilt FundEdelweiss Mutual Fund₹26.571.9%6%5.3%0.51%₹123 Cr
Canara Robeco Gilt FundCanara Robeco Mutual Fund₹83.373%5.9%5.4%0.42%₹121 Cr
HSBC Gilt FundHSBC Mutual Fund₹77.352.7%5.9%0.5%₹156 Cr
Quant Gilt Fundquant Mutual Fund₹12.533.8%5.9%0.43%₹76 Cr
Kotak Gilt FundKotak Mahindra Mutual Fund₹111.313.1%5.7%5.4%0.48%₹2,108 Cr
Aditya Birla Sun Life Gilt FundAditya Birla Sun Life Mutual Fund₹88.172.2%5.6%5.1%0.42%₹1,238 Cr
LIC MF Gilt FundLIC Mutual Fund₹66.832.8%5.5%4.9%0.69%₹45 Cr
Union Gilt FundUnion Mutual Fund₹12.431.4%5.1%0.55%₹81 Cr
Bajaj Finserv Gilt FundBajaj Finserv Mutual Fund₹1,075.564.2%0.47%₹28 Cr
Groww Gilt FundGroww Mutual Fund₹10.031.7%0.57%₹35 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.