ANOMALY WEALTHMutual Fund Intelligence Data throughAug 2026 Trade Intelligence ↗

Category flow explorer · Jul 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 +8,898 Cr 12 months +1.81 lakh Cr
Debt net flow +4,930 Cr 12 months -2.67 lakh Cr
Hybrid net flow -5,146 Cr 12 months +53,457 Cr
Index funds & ETFs net flow +13,958 Cr 12 months +1.59 lakh Cr
Download CSV
₹ 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 +19,919 -20,668 +14,321 +6,894 +29,700 +19.35% 123,410 6.14 L ▲ 1 10
Other ETFs (single category)126 schemes Passive +7,635 +5,359 +19,050 +45,410 +91,088 +1.92% 436,116 1.15 Cr ▲ 21 1
Index Funds (single category)95 schemes Passive +6,779 +7,301 +19,804 +43,926 +65,430 +8.13% 94,589 27.52 L ▲ 19 18
Ultra Short Term26 schemes Debt +3,728 -10,058 -13,435 -2,501 -16,924 +4.30% 90,774 6.16 L ▲ 1 19
Money Market20 schemes Debt +2,639 -8,126 -20,086 -10,034 -15,454 +2.43% 111,689 4.16 L ▲ 1 14
Small Cap24 schemes Equity +1,779 +1,616 +5,164 +10,007 +13,248 +1.74% 113,332 86.59 L ▲ 10 13
Flexi Cap31 schemes Equity +1,382 +2,512 +6,832 +14,964 +30,432 +0.66% 231,328 1.22 Cr ▲ 17 4
Mid Cap26 schemes Equity +1,245 +1,852 +4,928 +10,625 +17,243 +0.83% 168,438 92.45 L ▲ 17 6
Large & Mid Cap27 schemes Equity +1,120 +1,995 +5,528 +12,778 +18,725 +1.06% 117,219 71.81 L ▲ 18 11
Large Cap30 schemes Equity +1,091 +2,130 +5,707 +12,356 +18,081 +0.51% 231,852 1.28 Cr ▲ 11 3
Focused26 schemes Equity +773 +1,192 +3,513 +9,056 +17,772 +0.85% 99,934 52.70 L ▲ 18 15
Aggressive / Balanced Hybrid (combined)32 schemes Hybrid +686 +1,130 +3,197 +5,964 +7,818 +0.49% 150,660 51.92 L ▲ 9 8
Balanced Advantage / Dynamic Asset Allocation25 schemes Hybrid +554 +1,799 +4,601 +9,981 +55,568 +0.31% 186,630 43.86 L ▲ 19 5
Multi Cap14 schemes Equity +524 +970 +2,759 +14,379 +30,085 +0.98% 59,304 34.60 L ▲ 11 24
Value / Contra (combined)22 schemes Equity +427 +847 +2,432 +4,784 +4,309 +0.57% 82,030 42.04 L ▲ 6 22
ELSS (Tax Saver)39 schemes Equity +328 +640 +1,715 +5,796 +5,203 +0.24% 147,911 1.42 Cr ▲ 9 9
Fund of Funds investing overseas46 schemes Fof Overseas +313 +315 +874 +1,147 +5,210 +1.62% 21,176 12.60 L ▲ 4 29
Sectoral / Thematic (combined)118 schemes Equity +215 +1,678 +4,185 +11,777 +25,379 +0.15% 154,214 1.25 Cr ▲ 17 7
Multi Asset Allocation9 schemes Hybrid +178 +144 +562 +1,169 +2,173 +0.92% 20,404 8.30 L ▲ 11 30
Retirement25 schemes Solution +61.63 +79.11 +240 +485 +898 +0.39% 16,765 26.99 L ▲ 18 33
Children's10 schemes Solution +49.28 +58.31 +168 +340 +587 +0.39% 13,402 29.01 L ▲ 19 35
Long Term2 schemes Debt +32.78 +36.65 +67.18 +23.88 +8.58 +1.31% 2,570 23,848 ▲ 2 38
10-year Constant Maturity Gilt4 schemes Debt +23.15 +221 +691 +636 +514 +1.19% 1,988 42,393 ▲ 4 39
Conservative Hybrid21 schemes Hybrid +19.81 +175 +243 +767 +3,235 +0.09% 21,715 5.13 L ▲ 5 28
Dividend Yield8 schemes Equity +15.03 +66.50 +162 +463 +650 +0.16% 9,946 5.87 L ▲ 10 36
Dynamic Term25 schemes Debt -91.19 -738 -3,243 -6,030 -3,308 -0.42% 21,847 2.24 L ▼ 7 27
Gilt21 schemes Debt -113 -28.07 +34.10 -1,037 -1,491 -0.75% 15,137 1.71 L ▼ 2 34
Medium to Long Term13 schemes Debt -164 -167 -580 -4,965 -1,416 -1.80% 9,044 1.13 L ▼ 8 37
Equity Savings22 schemes Hybrid -176 +65.26 +88.17 +662 +4,558 -1.04% 17,080 3.67 L ▼ 1 32
Credit Risk15 schemes Debt -213 -482 -1,425 -2,494 -1,780 -0.81% 26,192 2.63 L ▼ 8 26
Gold ETF11 schemes Passive -457 +135 -119 +939 +2,256 -2.26% 20,038 46.43 L ▼ 1 31
Medium Term16 schemes Debt -546 -1,228 -2,996 -6,222 -4,453 -1.89% 28,838 2.66 L ▼ 9 25
Ultra Short to Short Term22 schemes Debt -646 -8,532 -15,894 -28,330 -67,829 -0.65% 99,305 10.04 L ▼ 3 16
Short Term25 schemes Debt -1,872 -6,649 -17,124 -42,723 -49,346 -1.94% 95,153 5.40 L ▼ 8 17
Corporate Bond21 schemes Debt -2,582 -9,086 -13,815 -38,553 -47,633 -2.23% 113,857 6.35 L ▼ 11 12
Banking and PSU Debt22 schemes Debt -2,810 -3,881 -7,812 -22,560 -40,143 -3.31% 82,678 3.13 L ▼ 11 21
Floating Interest Rates12 schemes Debt -4,682 -7,078 -17,045 -33,188 -21,314 -6.71% 65,542 2.53 L ▼ 3 23
Arbitrage25 schemes Hybrid -6,408 -5,593 -10,993 -14,033 -19,895 -6.73% 89,117 5.00 L ▼ 2 20
Liquid37 schemes Debt -7,693 -15,783 -21,698 +2,702 -26,422 -2.11% 358,402 17.52 L ▼ 2 2

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 +7,178 +18,931 +93,345 456,154 ▲ 21
All index fundsIndex Funds +6,779 +19,804 +65,430 94,589 ▲ 19