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Index funds & ETFs · SEBI scheme category · Jul 2026

Index Funds (single category) funds

Retired Published Apr 2019 – Jul 2026 AMFI label: Index Funds

Published as one category until July 2026; split by asset class from August 2026. Succeeded by Index Funds — Equity and Index Funds — Debt and Index Funds — Hybrid.

Net flow · Jul 2026 +1,537 Cr Previous month -58.54 Cr
3-month net flow +2,421 Cr Needs 3 unbroken months
12-month net flow +26,947 Cr Needs 12 unbroken months
Assets (AUM) 3.43 lakh Cr 375 schemes · 1.56 Cr folios
% of prior AUM +0.46% 1 month of inflow

Flow and asset history

88 published months · ₹ crore

Loading published history…

Largest fund houses in this category

Average AUM · Apr–Jun 2026 · Index funds

Fund houseAverage AUMShare of categoryShare of the AMC’s assets
HDFC Mutual Fund 48,432 Cr 14.5% 5.0%
ICICI Prudential Mutual Fund 48,012 Cr 14.4% 4.1%
UTI Mutual Fund 46,237 Cr 13.9% 11.7%
SBI Mutual Fund 36,142 Cr 10.8% 2.8%
Motilal Oswal Mutual Fund 25,689 Cr 7.7% 16.7%
Aditya Birla Sun Life Mutual Fund 22,714 Cr 6.8% 5.3%
Nippon India Mutual Fund 20,971 Cr 6.3% 2.7%
Kotak Mahindra Mutual Fund 17,555 Cr 5.3% 2.9%
Bandhan Mutual Fund 16,468 Cr 4.9% 8.0%
Axis Mutual Fund 10,462 Cr 3.1% 2.8%
DSP Mutual Fund 9,339 Cr 2.8% 4.0%
Edelweiss Mutual Fund 9,220 Cr 2.8% 4.7%
Tata Mutual Fund 6,486 Cr 1.9% 2.8%
Navi Mutual Fund 6,302 Cr 1.9% 66.7%
HSBC Mutual Fund 2,636 Cr 0.8% 1.8%

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

All NFOs →
MonthSchemesMobilisedPublished category
Aug 2026Kotak Nifty Bank Index Fund; UTI Nifty 500 Index Fund; Axis Nifty Energy Index Fund; Edelweiss Nifty REITs... 4 355 Cr Equity Funds
Jul 2026SBI Crisil - IBX SDL Index - June 2034 Index Fund 1 30.00 Cr Debt Funds
Jul 2026Mirae Asset Nifty200 Momentum 30 Plus 8-13yr G-Sec 75:25 Index Fund 1 13.00 Cr Hybrid Fund
Jul 2026Motilal Oswal BSE Midcap 150 Momentum 30 Index Fund; Axis Nifty50 Equal Weight Index Fund; HDFC Nifty Auto... 3 308 Cr Equity Funds
May 2026Groww Nifty Private Bank Index Fund; Invesco India BSE Sensex Index Fund; Invesco India Nifty Bank Index... 6 165 Cr Index Funds
Apr 2026Motilal Oswal BSE Top 10 Banks ETF; SBI CRISIL-IBX Financial Services 3-6 Months Debt Index Fund; SBI... 9 757 Cr Index Funds
Mar 2026Nippon India CRISIL-IBX Financial Services 9-12 Months Debt Index Fund; Nippon India CRISIL-IBX Financial... 4 1,621 Cr Index Funds
Feb 2026Axis BSE India Sector Leaders Index Fund; Kotak Nifty200 Value 30 Index Fund; UTI Nifty500 Shariah Index... 4 286 Cr Index Funds
Jan 2026Zerodha Nifty Short Duration G-Sec Index Fund, DSP Nifty 500 Index Fund 2 27.00 Cr Index Funds
Dec 2025Tata BSE Multicap Consumption 50:30:20 Index Fund, Kotak Nifty500 Momentum 50 Index Fund, Navi Nifty... 5 96.00 Cr Index Funds
Nov 2025 4 280 Cr Index Funds
Oct 2025 2 136 Cr Index Funds
Sep 2025 4 886 Cr Index Funds
Aug 2025 11 537 Cr Index Funds
Jul 2025 6 526 Cr Index Funds
Jun 2025 9 689 Cr Index Funds
May 2025 7 514 Cr Index Funds
Apr 2025 2 65.00 Cr Index Funds
Mar 2025 11 2,049 Cr Index Funds
Feb 2025 12 671 Cr Index Funds
Jan 2025 4 71.00 Cr Index Funds
Dec 2024 12 1,361 Cr Index Funds
Nov 2024 10 523 Cr Index Funds
Oct 2024 17 1,895 Cr Index Funds

NFO money is part of that month’s gross mobilisation; it is shown here, never added to it.

Monthly figures 88 months · ₹ crore
MonthGross mobilisationRedemptionsNet flowAUMAUM changeOther than flowFoliosSchemes
Jul 2026Index Funds 10,257 8,721 +1,537 343,386 +6,472 +4,935 1.56 Cr 375
Jun 2026Index Funds 10,410 10,469 -58.54 336,914 +4,519 +4,578 1.55 Cr 371
May 2026Index Funds 8,766 7,823 +943 332,395 +1,338 +394 1.54 Cr 368
Apr 2026Index Funds 17,485 12,859 +4,626 331,057 +23,742 +19,116 1.52 Cr 362
Mar 2026Index Funds 18,615 10,447 +8,169 307,315 -17,252 -25,421 1.50 Cr 360
Feb 2026Index Funds 10,332 7,099 +3,233 324,567 +4,073 +840 1.48 Cr 356
Jan 2026Index Funds 8,526 8,499 +27.30 320,494 -5,328 -5,355 1.45 Cr 354
Dec 2025Index Funds 10,596 8,866 +1,730 325,821 +973 -757 1.44 Cr 352
Nov 2025Index Funds 8,702 6,975 +1,727 324,848 +4,772 +3,045 1.43 Cr 348
Oct 2025Index Funds 9,475 7,546 +1,929 320,076 +11,183 +9,253 1.42 Cr 345
Sep 2025Index Funds 9,066 7,485 +1,581 308,893 +4,658 +3,078 1.41 Cr 344
Aug 2025Index Funds 7,685 6,182 +1,503 304,235 -1,594 -3,097 1.40 Cr 341
Jul 2025Index Funds 9,229 6,899 +2,330 305,829 -3,167 -5,497 1.37 Cr 330
Jun 2025Index Funds 8,042 6,999 +1,043 308,996 +8,185 +7,142 1.35 Cr 324
May 2025Index Funds 8,579 7,474 +1,104 300,811 +8,606 +7,501 1.32 Cr 316
Apr 2025Index Funds 8,881 7,325 +1,555 292,206 +8,809 +7,253 1.31 Cr 309
Mar 2025Index Funds 12,543 9,042 +3,501 283,397 +14,910 +11,409 1.31 Cr 309
Feb 2025Index Funds 8,467 4,290 +4,177 268,488 -7,633 -11,810 1.30 Cr 298
Jan 2025Index Funds 9,551 4,296 +5,255 276,120 +1,043 -4,211 1.28 Cr 286
Dec 2024Index Funds 9,170 4,384 +4,786 275,077 +1,902 -2,884 1.25 Cr 282
Nov 2024Index Funds 8,214 3,872 +4,343 273,175 +5,351 +1,008 1.22 Cr 270
Oct 2024Index Funds 12,031 4,100 +7,931 267,824 -1,867 -9,798 1.19 Cr 260
Sep 2024Index Funds 11,628 9,667 +1,960 269,691 +5,917 +3,957 1.12 Cr 243
Aug 2024Index Funds 8,242 4,995 +3,247 263,774 +5,626 +2,378 1.03 Cr 230
Jul 2024Index Funds 13,103 5,083 +8,020 258,148 +14,667 +6,647 97.36 L 225
Jun 2024Index Funds 9,393 4,322 +5,072 243,482 +13,770 +8,698 87.30 L 219
May 2024Index Funds 7,487 2,996 +4,490 229,712 +6,657 +2,167 83.64 L 217
Apr 2024Index Funds 10,027 3,503 +6,524 223,054 +9,397 +2,873 79.83 L 213
Mar 2024Index Funds 6,414 4,591 +1,822 213,657 +3,871 +2,049 75.77 L 208
Feb 2024Index Funds 5,669 3,133 +2,536 209,787 +5,262 +2,726 72.14 L 203
Jan 2024Index Funds 5,995 3,007 +2,988 204,525 +4,865 +1,877 67.03 L 197
Dec 2023Index Funds 5,868 5,165 +703 199,659 +8,246 +7,543 62.83 L 196
Nov 2023Index Funds 4,082 2,728 +1,353 191,413 +7,175 +5,821 59.69 L 193
Oct 2023Index Funds 4,224 2,135 +2,089 184,238 +210 -1,878 56.91 L 191
Sep 2023Index Funds 3,909 2,226 +1,682 184,028 +3,278 +1,596 53.88 L 189
Aug 2023Index Funds 3,753 1,768 +1,986 180,750 +1,448 -538 51.13 L 189
Jul 2023Index Funds 3,562 2,383 +1,179 179,302 +3,834 +2,655 48.14 L 186
Jun 2023Index Funds 3,459 4,364 -906 175,468 +1,164 +2,070 44.96 L 185
May 2023Index Funds 3,257 3,148 +109 174,304 +3,211 +3,102 42.55 L 183
Apr 2023Index Funds 2,760 2,612 +147 171,093 +3,576 +3,429 40.20 L 181
Mar 2023Index Funds 33,256 6,027 +27,228 167,517 +28,703 +1,475 38.53 L 177
Feb 2023Index Funds 9,476 3,232 +6,244 138,814 +5,042 -1,203 35.83 L 163
Jan 2023Index Funds 7,804 1,990 +5,813 133,772 +4,788 -1,025 33.89 L 152
Dec 2022Index Funds 9,778 3,042 +6,737 128,984 +5,273 -1,463 32.10 L 146
Nov 2022Index Funds 10,912 2,311 +8,602 123,711 +11,108 +2,506 30.79 L 137
Oct 2022Index Funds 7,359 2,284 +5,076 112,603 +7,609 +2,534 29.98 L 126
Sep 2022Index Funds 8,397 6,080 +2,317 104,994 +252 -2,066 29.09 L 105
Aug 2022Index Funds 9,766 1,978 +7,788 104,742 +10,153 +2,365 28.29 L 102
Jul 2022Index Funds 7,780 1,001 +6,779 94,589 +11,182 +4,402 27.52 L 95
Jun 2022Index Funds 7,975 674 +7,301 83,408 +5,360 -1,941 27.01 L 94
May 2022Index Funds 6,816 1,093 +5,723 78,047 +4,053 -1,670 26.39 L 94
Apr 2022Index Funds 7,191 1,129 +6,062 73,994 +5,318 -744 25.46 L 94
Mar 2022Index Funds 13,767 1,454 +12,313 68,676 +13,938 +1,625 24.69 L 93
Feb 2022Index Funds 6,737 989 +5,748 54,737 +4,831 -916 23.42 L 78
Jan 2022Index Funds 5,984 1,070 +4,914 49,906 +4,476 -438 22.16 L 68
Dec 2021Index Funds 5,289 773 +4,516 45,430 +5,190 +674 20.54 L 62
Nov 2021Index Funds 4,113 592 +3,521 40,240 +2,712 -809 19.36 L 59
Oct 2021Index Funds 4,466 951 +3,514 37,528 +3,704 +190 17.82 L 57
Sep 2021Index Funds 4,264 1,160 +3,104 33,824 +3,774 +669 16.22 L 53
Aug 2021Index Funds 3,017 1,082 +1,934 30,051 +3,718 +1,784 15.31 L 51
Jul 2021Index Funds 1,975 864 +1,111 26,333 +1,386 +275 14.33 L 50
Jun 2021Index Funds 2,320 633 +1,687 24,947 +2,042 +355 13.42 L 49
May 2021Index Funds 2,017 776 +1,241 22,905 +2,479 +1,238 11.82 L 47
Apr 2021Index Funds 1,970 802 +1,168 20,426 +1,262 +94.28 10.93 L 46
Mar 2021Index Funds 2,883 757 +2,126 19,164 +2,297 +171 10.15 L 44
Feb 2021Index Funds 1,334 845 +489 16,867 +1,508 +1,019 9.36 L 39
Jan 2021Index Funds 1,268 815 +454 15,359 +99.88 -354 8.68 L 37
Dec 2020Index Funds 1,006 1,099 -93.01 15,259 +958 +1,051 8.11 L 37
Nov 2020Index Funds 713 935 -223 14,301 +1,230 +1,453 7.76 L 37
Oct 2020Index Funds 758 697 +61.45 13,071 +489 +428 7.66 L 37
Sep 2020Index Funds 950 552 +398 12,581 +259 -138 7.38 L 35
Aug 2020Index Funds 683 448 +236 12,322 +545 +309 7.19 L 35
Jul 2020Index Funds 673 855 -182 11,777 +609 +790 7.01 L 35
Jun 2020Index Funds 798 684 +114 11,168 +871 +757 6.88 L 35
May 2020Index Funds 787 224 +563 10,297 +345 -218 6.69 L 35
Apr 2020Index Funds 1,026 391 +635 9,952 +1,863 +1,228 6.34 L 35
Mar 2020Index Funds 2,505 428 +2,076 8,089 +159 -1,918 5.44 L 32
Feb 2020Index Funds 814 303 +511 7,930 -13.97 -525 4.77 L 32
Jan 2020Index Funds 628 481 +147 7,944 +41.01 -106 4.55 L 32
Dec 2019Index Funds 482 340 +142 7,903 +186 +43.99 4.30 L 32
Nov 2019Index Funds 432 420 +12.40 7,717 +94.55 +82.14 4.05 L 30
Oct 2019Index Funds 958 179 +779 7,623 +1,051 +271 3.93 L 30
Sep 2019Index Funds 517 169 +348 6,572 +600 +252 3.69 L 29
Aug 2019Index Funds 464 119 +346 5,972 +333 -12.70 3.45 L 25
Jul 2019Index Funds 403 179 +224 5,639 -80.37 -305 3.31 L 25
Jun 2019Index Funds 302 110 +191 5,719 +132 -59.66 3.14 L 25
May 2019Index Funds 453 233 +220 5,587 +301 +81.22 3.02 L 25
Apr 2019Index Funds 262 244 +17.93 5,286 2.88 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.