ANOMALY WEALTHMutual Fund Intelligence Data throughAug 2026 Trade Intelligence ↗

Category flow explorer · Jun 2020

Which categories are winning or losing money

Every SEBI scheme category AMFI publishes, on one canonical identity across the 2021 and 2026 re-labellings. Rolling totals and streaks run only inside an unbroken series.

Month-by-month heatmap →
Equity net flow +241 Cr 12 months +77,817 Cr
Debt net flow +2,862 Cr 12 months +85,490 Cr
Hybrid net flow +356 Cr 12 months -11,067 Cr
Index funds & ETFs net flow +4,702 Cr 12 months +70,790 Cr
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₹ crore. Net flow is AMFI’s published figure. % of prior AUM divides it by last month-end assets. Figures marked — are not computed because the series is new or too small.
CategoryClassNet flowPrevious 3-month6-month12-month% of prior AUM AUMFoliosStreakSize rank
Ultra Short to Short Term26 schemes Debt +12,236 +301 +5,696 -5,511 -956 +16.12% 89,026 9.52 L ▲ 2 10
Corporate Bond20 schemes Debt +10,737 +3,832 +18,738 +19,757 +31,833 +11.67% 104,404 4.47 L ▲ 3 7
Short Term28 schemes Debt +8,324 +2,040 +8,055 +3,996 +15,784 +8.77% 104,781 3.89 L ▲ 2 6
Banking and PSU Debt19 schemes Debt +5,477 +8,873 +20,912 +20,846 +48,450 +6.09% 96,816 2.34 L ▲ 3 8
Money Market20 schemes Debt +4,685 +5,010 +8,486 -9,374 +1,918 +7.59% 66,836 3.79 L ▲ 2 16
Other ETFs (single category)77 schemes Passive +4,093 +1,018 +4,931 +27,982 +61,185 +2.55% 175,340 22.64 L ▲ 2 2
Arbitrage26 schemes Hybrid +3,538 +10,806 +20,931 -11,516 +13,365 +5.10% 72,080 3.17 L ▲ 3 14
Floating Interest Rates7 schemes Debt +3,135 +332 +2,536 -964 +2,529 +9.65% 36,075 1.54 L ▲ 2 22
Ultra Short Term29 schemes Debt +1,386 +1,525 -508 -21,449 -20,363 +1.95% 73,201 6.39 L ▲ 2 13
Gilt21 schemes Debt +1,159 +1,947 +5,622 +5,699 +6,219 +8.14% 15,463 1.87 L ▲ 4 26
Overnight30 schemes Debt +1,055 -15,881 -12,223 +35,609 +57,051 +1.57% 68,562 1.27 L ▲ 1 15
ELSS (Tax Saver)42 schemes Equity +587 +712 +2,051 +5,406 +8,763 +0.70% 90,025 1.25 Cr ▲ 15 9
Gold ETF11 schemes Passive +494 +815 +2,040 +3,531 +3,706 +4.89% 10,857 6.31 L ▲ 3 30
Focused22 schemes Equity +317 +670 +1,730 +6,496 +12,487 +0.72% 48,225 36.71 L ▲ 15 20
Dynamic Term29 schemes Debt +312 -75.14 -919 -1,821 -2,631 +1.81% 17,708 2.22 L ▲ 1 25
Small Cap23 schemes Equity +249 +293 +927 +3,660 +8,059 +0.63% 44,679 51.52 L ▲ 15 21
Fund of Funds investing overseas28 schemes Fof Overseas +198 +75.72 +380 +810 +1,179 +5.58% 3,904 2.35 L ▲ 15 35
Medium to Long Term14 schemes Debt +198 +157 +163 -208 -618 +1.97% 10,355 1.11 L ▲ 2 32
Index Funds (single category)35 schemes Passive +114 +563 +1,312 +4,047 +5,899 +1.11% 11,168 6.88 L ▲ 15 27
Sectoral / Thematic (combined)95 schemes Equity +108 +197 +727 +3,452 +3,488 +0.19% 60,110 67.17 L ▲ 6 17
Large & Mid Cap27 schemes Equity +88.03 +704 +1,138 +3,501 +5,683 +0.18% 52,604 48.03 L ▲ 7 18
Retirement24 schemes Solution +74.62 +57.10 +176 +339 +1,868 +0.81% 9,800 25.46 L ▲ 15 33
10-year Constant Maturity Gilt4 schemes Debt +67.07 +143 +303 +452 +629 +5.50% 1,293 47,816 ▲ 13 38
Long Term2 schemes Debt +37.27 +283 +622 +755 +852 +1.60% 2,377 29,564 ▲ 5 37
Mid Cap26 schemes Equity +36.70 +280 +814 +5,296 +11,723 +0.05% 79,993 65.54 L ▲ 15 12
Children's9 schemes Solution +33.16 +40.02 +112 +209 +405 +0.43% 8,257 28.91 L ▲ 15 34
Dividend Yield6 schemes Equity -18.04 -5.98 -28.85 -163 -335 -0.50% 3,851 4.67 L ▼ 15 36
Conservative Hybrid22 schemes Hybrid -61.69 -342 -989 -1,990 -3,854 -0.59% 10,722 3.78 L ▼ 15 31
Multi Asset Allocation8 schemes Hybrid -72.90 -40.00 -141 +417 +877 -0.68% 11,082 6.30 L ▼ 3 28
Value / Contra (combined)17 schemes Equity -136 +92.74 +97.63 -234 -1,901 -0.30% 48,764 41.04 L ▼ 1 19
Large Cap29 schemes Equity -213 +1,556 +3,034 +7,855 +17,427 -0.17% 137,148 1.04 Cr ▼ 1 3
Medium Term18 schemes Debt -227 -1,520 -8,110 -10,363 -14,810 -1.12% 20,294 1.99 L ▼ 4 24
Equity Savings23 schemes Hybrid -401 -393 -1,246 -3,004 -6,177 -3.66% 10,935 3.23 L ▼ 15 29
Multi Cap (2017 definition)35 schemes Equity -778 +759 +1,221 +6,837 +12,424 -0.61% 135,617 94.68 L ▼ 1 4
Balanced Advantage / Dynamic Asset Allocation23 schemes Hybrid -941 -401 -1,807 -409 +3,297 -1.15% 84,980 26.77 L ▼ 4 11
Credit Risk23 schemes Debt -1,494 -5,173 -25,906 -33,326 -45,829 -4.90% 29,423 3.69 L ▼ 15 23
Aggressive / Balanced Hybrid (combined)33 schemes Hybrid -1,705 -978 -3,535 -7,493 -18,575 -1.59% 111,624 52.28 L ▼ 11 5
Liquid39 schemes Debt -44,226 +61,871 +86,493 -7,688 +5,433 -9.43% 426,408 19.74 L ▼ 1 1

Open-ended schemes only. Close-ended and interval schemes are in the industry totals. A split category (Value / Contra, Sectoral / Thematic, Aggressive / Balanced Hybrid, Index Funds, Other ETFs) ends in July 2026; its successors start new series in August 2026.

Passive, continuous across the 2026 split

AMFI’s published totals for all index funds and all ETFs

AggregateNet flow3-month12-monthAUMStreak
All ETFs (incl. gold and silver)Gold ETF + Other ETFs +4,587 +6,972 +64,890 186,198 ▲ 10
All index fundsIndex Funds +114 +1,312 +5,899 11,168 ▲ 15