ANOMALY WEALTHMutual Fund Intelligence Data throughAug 2026 Trade Intelligence ↗

Category flow explorer · May 2022

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 +18,529 Cr 12 months +1.85 lakh Cr
Debt net flow -32,722 Cr 12 months -1.03 lakh Cr
Hybrid net flow +5,123 Cr 12 months +92,725 Cr
Index funds & ETFs net flow +11,983 Cr 12 months +1.45 lakh 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
Overnight30 schemes Debt +15,071 +4,128 +6,347 +31,731 +40,842 +14.02% 123,030 5.85 L ▲ 2 11
Other ETFs (single category)124 schemes Passive +6,056 +8,663 +21,625 +49,976 +87,652 +1.47% 409,693 1.14 Cr ▲ 19 1
Index Funds (single category)94 schemes Passive +5,723 +6,062 +24,098 +39,276 +54,147 +7.73% 78,047 26.39 L ▲ 17 21
Flexi Cap31 schemes Equity +2,939 +1,709 +7,197 +16,006 +39,134 +1.31% 218,724 1.20 Cr ▲ 15 4
Large Cap31 schemes Equity +2,485 +1,259 +6,797 +12,553 +16,000 +1.11% 219,836 1.27 Cr ▲ 9 3
Large & Mid Cap27 schemes Equity +2,414 +2,050 +7,628 +13,032 +17,645 +2.18% 108,776 69.80 L ▲ 16 13
Sectoral / Thematic (combined)118 schemes Equity +2,292 +3,844 +6,442 +15,726 +30,422 +1.53% 146,709 1.23 Cr ▲ 15 7
Balanced Advantage / Dynamic Asset Allocation25 schemes Hybrid +2,248 +1,543 +5,510 +14,097 +57,725 +1.25% 180,024 43.21 L ▲ 17 5
Mid Cap26 schemes Equity +1,832 +1,550 +5,574 +10,978 +17,364 +1.13% 155,832 90.15 L ▲ 15 6
Liquid37 schemes Debt +1,777 +28,731 -14,096 +3,095 +30,871 +0.47% 378,744 17.47 L ▲ 2 2
Small Cap24 schemes Equity +1,769 +1,717 +5,181 +9,134 +12,337 +1.61% 104,739 83.31 L ▲ 8 15
Focused26 schemes Equity +1,549 +1,278 +5,137 +10,418 +17,387 +1.61% 93,943 51.86 L ▲ 16 19
Aggressive / Balanced Hybrid (combined)32 schemes Hybrid +1,380 +701 +3,238 +6,193 +6,441 +0.94% 144,800 51.16 L ▲ 7 8
Multi Cap14 schemes Equity +1,265 +1,340 +12,300 +24,353 +28,965 +2.27% 54,714 33.08 L ▲ 9 24
Value / Contra (combined)22 schemes Equity +1,158 +744 +2,673 +3,676 +2,458 +1.46% 77,908 41.15 L ▲ 4 22
Arbitrage25 schemes Hybrid +1,007 +4,093 -1,696 -5,379 +16,090 +1.02% 99,976 5.02 L ▲ 2 17
ELSS (Tax Saver)39 schemes Equity +747 +307 +3,730 +6,200 +2,932 +0.51% 140,800 1.41 Cr ▲ 7 9
10-year Constant Maturity Gilt4 schemes Debt +447 +37.85 +412 +346 +199 +34.92% 1,709 43,242 ▲ 2 39
Fund of Funds investing overseas46 schemes Fof Overseas +246 +62.71 +289 +1,235 +7,864 +1.20% 20,412 12.58 L ▲ 2 29
Multi Asset Allocation10 schemes Hybrid +240 +210 +643 +1,160 +1,931 +1.21% 19,727 8.17 L ▲ 9 31
Gold ETF11 schemes Passive +203 +1,100 +1,509 +1,122 +2,876 +1.00% 20,262 45.06 L ▲ 3 30
Equity Savings22 schemes Hybrid +199 +392 +442 +976 +6,138 +1.17% 17,081 3.62 L ▲ 2 32
Gilt21 schemes Debt +176 -106 -431 -1,265 -2,333 +1.17% 15,109 1.74 L ▲ 1 34
Retirement25 schemes Solution +99.05 +62.73 +237 +540 +852 +0.61% 16,065 26.92 L ▲ 16 33
Dividend Yield8 schemes Equity +80.84 +94.06 +225 +482 +661 +0.83% 9,565 5.80 L ▲ 8 36
Children's10 schemes Solution +60.80 +49.21 +176 +346 +559 +0.47% 12,833 28.98 L ▲ 17 35
Conservative Hybrid21 schemes Hybrid +48.15 +301 +623 +1,683 +4,401 +0.23% 21,149 5.09 L ▲ 3 28
Long Term2 schemes Debt -2.25 +26.64 +12.61 -49.82 -103 -0.09% 2,466 24,068 ▼ 1 38
Medium to Long Term13 schemes Debt -248 -410 -1,726 -4,726 -2,393 -2.60% 9,259 1.14 L ▼ 6 37
Credit Risk15 schemes Debt -730 -283 -1,411 -2,043 -546 -2.66% 26,589 2.66 L ▼ 6 26
Banking and PSU Debt22 schemes Debt -1,121 -3,096 -12,215 -24,623 -33,209 -1.24% 88,745 3.21 L ▼ 9 20
Medium Term16 schemes Debt -1,222 -1,364 -3,386 -5,756 -1,883 -3.88% 30,036 2.73 L ▼ 7 25
Corporate Bond21 schemes Debt -2,147 -2,553 -16,667 -32,127 -38,502 -1.69% 124,500 6.45 L ▼ 9 10
Dynamic Term25 schemes Debt -2,414 -197 -3,496 -4,640 -2,896 -9.65% 22,342 2.27 L ▼ 5 27
Floating Interest Rates12 schemes Debt -5,286 +1,518 -11,105 -25,297 +4,188 -6.42% 76,833 2.56 L ▼ 1 23
Ultra Short to Short Term22 schemes Debt -6,716 +1,492 -14,171 -32,163 -44,216 -5.86% 107,763 10.27 L ▼ 1 14
Ultra Short Term27 schemes Debt -7,105 +15,089 +5,144 -1,516 -6,378 -6.88% 96,332 6.15 L ▼ 1 18
Short Term25 schemes Debt -8,603 -4,452 -22,110 -39,123 -43,309 -7.72% 102,557 5.56 L ▼ 6 16
Money Market20 schemes Debt -14,599 +16,194 -3,892 -6,857 -3,044 -11.16% 116,260 4.14 L ▼ 1 12

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 +6,259 +23,134 +90,528 429,955 ▲ 19
All index fundsIndex Funds +5,723 +24,098 +54,147 78,047 ▲ 17