ANOMALY WEALTHMutual Fund Intelligence Data throughAug 2026 Trade Intelligence ↗

Category flow explorer · Feb 2024

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 +26,866 Cr 12 months +1.82 lakh Cr
Debt net flow +63,809 Cr 12 months +1.18 lakh Cr
Hybrid net flow +18,105 Cr 12 months +1.27 lakh Cr
Index funds & ETFs net flow +9,995 Cr 12 months +77,708 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
Liquid36 schemes Debt +83,642 +49,468 +93,435 +51,577 +99,676 +19.41% 517,404 17.79 L ▲ 2 2
Arbitrage27 schemes Hybrid +11,508 +10,608 +32,762 +57,865 +78,986 +7.99% 150,769 4.83 L ▲ 11 14
Sectoral / Thematic (combined)155 schemes Equity +11,263 +4,805 +22,073 +31,080 +42,149 +4.15% 287,899 1.74 Cr ▲ 9 6
Other ETFs (single category)186 schemes Passive +6,462 +571 +7,233 +16,078 +32,004 +1.03% 644,835 1.35 Cr ▲ 7 1
Multi Asset Allocation21 schemes Hybrid +4,043 +7,080 +13,543 +24,867 +30,845 +6.70% 64,695 19.31 L ▲ 30 24
Large & Mid Cap29 schemes Equity +3,157 +2,330 +7,826 +12,741 +20,819 +1.63% 200,833 91.06 L ▲ 37 11
Corporate Bond21 schemes Debt +3,029 +1,301 +4,518 +2,420 +21,676 +2.12% 146,747 5.63 L ▲ 3 16
Small Cap27 schemes Equity +2,922 +3,257 +10,037 +20,910 +42,713 +1.18% 249,071 1.87 Cr ▲ 29 7
Flexi Cap38 schemes Equity +2,613 +2,447 +6,148 +11,337 +13,871 +0.78% 344,170 1.40 Cr ▲ 7 3
Index Funds (single category)203 schemes Passive +2,536 +2,988 +6,228 +11,352 +41,096 +1.24% 209,787 72.14 L ▲ 8 9
Multi Cap24 schemes Equity +2,414 +3,039 +7,305 +14,163 +21,848 +2.04% 122,258 58.69 L ▲ 30 18
Short Term23 schemes Debt +2,346 -223 +2,718 +2,025 +6,558 +2.31% 104,797 4.57 L ▲ 1 19
Value / Contra (combined)23 schemes Equity +1,867 +1,842 +4,978 +7,936 +14,160 +1.31% 147,098 60.07 L ▲ 25 15
Mid Cap29 schemes Equity +1,808 +2,061 +5,262 +12,338 +23,338 +0.62% 295,683 1.37 Cr ▲ 36 5
Equity Savings22 schemes Hybrid +1,344 +1,114 +3,538 +6,486 +8,902 +4.96% 28,651 4.01 L ▲ 10 27
Balanced Advantage / Dynamic Asset Allocation32 schemes Hybrid +1,287 +1,340 +3,996 +6,040 +8,588 +0.53% 245,822 45.64 L ▲ 8 8
Gold ETF17 schemes Passive +997 +657 +1,743 +3,093 +4,609 +3.59% 28,530 50.24 L ▲ 11 28
Large Cap31 schemes Equity +921 +1,287 +1,927 +2,847 -1,830 +0.31% 305,941 1.35 Cr ▲ 2 4
Long Term7 schemes Debt +631 +582 +1,486 +1,780 +6,899 +5.71% 11,885 50,699 ▲ 21 37
Gilt21 schemes Debt +539 +413 +470 +2,841 +8,698 +2.02% 27,580 1.82 L ▲ 2 29
ELSS (Tax Saver)42 schemes Equity +339 +533 +558 +788 +1,937 +0.17% 209,354 1.59 Cr ▲ 2 10
Money Market23 schemes Debt +137 +10,651 +2,404 +360 +27,157 +0.09% 156,455 4.33 L ▲ 2 13
Dynamic Term22 schemes Debt +132 -62.73 -67.56 -425 +5,653 +0.42% 31,509 2.20 L ▲ 1 26
Retirement27 schemes Solution +116 +158 +393 +861 +1,472 +0.48% 24,924 28.57 L ▲ 37 33
Dividend Yield9 schemes Equity +94.01 +382 +755 +1,580 +6,864 +0.41% 23,618 8.56 L ▲ 15 34
Children's11 schemes Solution +66.73 +89.62 +258 +486 +829 +0.36% 18,852 29.77 L ▲ 38 36
10-year Constant Maturity Gilt5 schemes Debt +42.41 +65.50 +162 +448 +2,499 +0.93% 4,649 38,317 ▲ 3 39
Aggressive / Balanced Hybrid (combined)31 schemes Hybrid +29.34 +448 +74.52 +667 -889 +0.02% 193,739 53.86 L ▲ 2 12
Medium to Long Term12 schemes Debt -6.61 +19.32 -17.46 -21.20 +1,036 -0.06% 10,529 1.01 L ▼ 1 38
Conservative Hybrid19 schemes Hybrid -106 +47.41 -162 -78.26 +565 -0.40% 26,702 5.35 L ▼ 1 30
Fund of Funds investing overseas54 schemes Fof Overseas -239 -234 -892 -1,511 -3,008 -0.99% 24,932 15.52 L ▼ 4 32
Ultra Short Term24 schemes Debt -362 +2,937 -3,456 -8,130 -3,308 -0.39% 92,071 6.36 L ▼ 1 21
Credit Risk14 schemes Debt -366 -303 -1,036 -1,746 -2,990 -1.56% 23,305 2.11 L ▼ 11 35
Medium Term15 schemes Debt -388 -211 -1,035 -2,128 -1,758 -1.47% 26,158 2.32 L ▼ 10 31
Banking and PSU Debt23 schemes Debt -480 -501 -1,642 -2,713 +663 -0.60% 80,250 2.60 L ▼ 3 22
Focused28 schemes Equity -533 -202 -1,226 -493 -3,876 -0.42% 126,471 50.75 L ▼ 3 17
Floating Interest Rates13 schemes Debt -3,610 +1,221 -8,560 -12,217 -8,212 -6.39% 53,216 2.18 L ▼ 1 25
Ultra Short to Short Term20 schemes Debt -4,100 +2,116 -11,416 -14,488 -3,580 -4.13% 95,696 8.83 L ▼ 1 20
Overnight35 schemes Debt -17,376 +8,995 -13,245 -18,449 -42,350 -20.54% 67,725 8.92 L ▼ 1 23

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 +7,459 +8,976 +36,612 673,365 ▲ 11
All index fundsIndex Funds +2,536 +6,228 +41,096 209,787 ▲ 8