ANOMALY WEALTHMutual Fund Intelligence Data throughAug 2026 Trade Intelligence ↗

Category flow explorer · Jun 2023

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 +8,637 Cr 12 months +1.15 lakh Cr
Debt net flow -14,136 Cr 12 months +25,111 Cr
Hybrid net flow +4,611 Cr 12 months -14,876 Cr
Index funds & ETFs net flow +2,567 Cr 12 months +1.30 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
Money Market22 schemes Debt +6,827 +8,731 +29,519 +24,015 +23,380 +5.16% 140,035 4.28 L ▲ 3 13
Small Cap24 schemes Equity +5,472 +3,283 +10,937 +17,869 +27,939 +3.56% 168,434 1.23 Cr ▲ 21 10
Overnight32 schemes Debt +4,628 -18,910 -8,175 -17,055 -21,101 +5.65% 89,223 6.94 L ▲ 1 20
Other ETFs (single category)161 schemes Passive +3,402 +4,524 +14,717 +12,706 +54,165 +0.65% 538,873 1.21 Cr ▲ 3 1
Arbitrage26 schemes Hybrid +3,366 +6,640 +13,722 +3,683 -20,957 +4.35% 80,625 4.35 L ▲ 3 22
Ultra Short to Short Term21 schemes Debt +3,358 +1,747 +10,568 +1,709 -6,780 +3.53% 99,019 9.31 L ▲ 3 18
Value / Contra (combined)23 schemes Equity +2,239 +582 +3,112 +5,633 +8,107 +2.29% 104,686 49.36 L ▲ 17 16
Floating Interest Rates13 schemes Debt +1,847 -2,378 +3,380 -3,421 -16,511 +3.34% 58,175 2.32 L ▲ 1 24
Mid Cap29 schemes Equity +1,749 +1,196 +4,735 +10,309 +19,708 +0.86% 218,146 1.10 Cr ▲ 28 5
Multi Asset Allocation13 schemes Hybrid +1,323 +738 +2,507 +5,672 +7,983 +4.56% 31,149 11.40 L ▲ 22 25
Large & Mid Cap26 schemes Equity +1,147 +1,133 +3,019 +8,191 +14,782 +0.82% 148,218 79.86 L ▲ 29 12
Multi Cap19 schemes Equity +735 +105 +1,046 +5,513 +8,890 +0.99% 78,415 42.81 L ▲ 22 23
Corporate Bond21 schemes Debt +552 +622 +1,227 +15,181 +11,565 +0.41% 135,476 6.11 L ▲ 5 14
Sectoral / Thematic (combined)130 schemes Equity +459 -169 +905 +9,593 +16,823 +0.25% 196,178 1.33 Cr ▲ 1 7
Equity Savings22 schemes Hybrid +416 +445 +724 -69.95 -1,035 +2.42% 17,889 3.62 L ▲ 2 34
Dividend Yield9 schemes Equity +398 +289 +810 +4,575 +4,460 +2.61% 16,237 7.53 L ▲ 7 35
Gilt22 schemes Debt +396 -128 +703 +5,528 +6,134 +1.78% 22,703 1.81 L ▲ 1 31
Dynamic Term22 schemes Debt +139 -287 +214 +6,430 +6,475 +0.46% 30,210 2.33 L ▲ 1 26
Conservative Hybrid20 schemes Hybrid +110 +23.54 -71.30 +229 +615 +0.46% 24,158 5.20 L ▲ 2 29
Retirement26 schemes Solution +78.61 +46.88 +265 +627 +1,134 +0.40% 20,199 27.74 L ▲ 29 33
Gold ETF13 schemes Passive +70.32 +103 +298 -2.60 -488 +0.30% 22,339 47.52 L ▲ 3 32
Children's10 schemes Solution +47.08 +52.91 +154 +375 +712 +0.31% 15,888 29.33 L ▲ 30 36
Long Term7 schemes Debt +7.89 +71.44 +149 +5,408 +6,207 +0.09% 9,183 47,668 ▲ 13 38
10-year Constant Maturity Gilt5 schemes Debt -4.74 -197 +352 +2,487 +2,069 -0.11% 4,230 42,164 ▼ 2 39
Flexi Cap36 schemes Equity -17.30 -368 +166 +4,080 +9,968 -0.01% 272,743 1.28 Cr ▼ 2 3
Medium to Long Term12 schemes Debt -23.14 +189 +764 +691 +121 -0.23% 9,884 1.07 L ▼ 1 37
Medium Term15 schemes Debt -128 -209 -331 +267 -3,667 -0.47% 27,349 2.55 L ▼ 2 27
Short Term25 schemes Debt -187 +4,055 +5,651 +1,884 -3,592 -0.19% 99,139 5.03 L ▼ 1 17
Balanced Advantage / Dynamic Asset Allocation29 schemes Hybrid -215 -757 -1,042 -1,647 -2,179 -0.11% 204,997 44.31 L ▼ 4 6
Credit Risk15 schemes Debt -318 -289 -964 -1,929 -3,610 -1.30% 24,325 2.38 L ▼ 3 28
Aggressive / Balanced Hybrid (combined)31 schemes Hybrid -389 -997 -1,817 -1,267 +696 -0.24% 166,687 52.92 L ▼ 4 11
ELSS (Tax Saver)43 schemes Equity -475 -505 -918 +4,162 +5,132 -0.29% 171,034 1.53 Cr ▼ 2 9
Fund of Funds investing overseas50 schemes Fof Overseas -510 -248 -875 -603 +139 -2.18% 23,869 13.48 L ▼ 3 30
Banking and PSU Debt23 schemes Debt -799 +123 -826 +4,238 -8,932 -0.98% 81,815 2.89 L ▼ 1 21
Index Funds (single category)185 schemes Passive -906 +109 -650 +38,636 +75,935 -0.52% 175,468 44.96 L ▼ 1 8
Focused27 schemes Equity -1,018 -944 -2,093 -1,422 +246 -0.96% 109,698 52.33 L ▼ 3 15
Ultra Short Term25 schemes Debt -1,887 +7,585 +16,361 +5,416 +4,772 -1.92% 97,161 6.38 L ▼ 1 19
Large Cap31 schemes Equity -2,050 -1,362 -3,359 -1,378 -861 -0.82% 259,583 1.29 Cr ▼ 2 4
Liquid36 schemes Debt -28,545 +45,234 +79,908 +6,638 +28,580 -6.45% 419,556 17.78 L ▼ 1 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 +3,473 +15,015 +53,678 561,212 ▲ 3
All index fundsIndex Funds -906 -650 +75,935 175,468 ▼ 1