ANOMALY WEALTHMutual Fund Intelligence Data throughAug 2026 Trade Intelligence ↗

Category flow explorer · Jun 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 +40,608 Cr 12 months +2.60 lakh Cr
Debt net flow -1.07 lakh Cr 12 months -36,770 Cr
Hybrid net flow +8,855 Cr 12 months +1.78 lakh Cr
Index funds & ETFs net flow +14,932 Cr 12 months +92,282 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
Sectoral / Thematic (combined)172 schemes Equity +22,352 +19,213 +46,731 +70,716 +91,964 +6.63% 383,271 2.25 Cr ▲ 13 4
Money Market23 schemes Debt +9,590 +8,272 +51,946 +54,014 +52,286 +4.96% 204,137 4.30 L ▲ 3 13
Other ETFs (single category)195 schemes Passive +9,134 +10,690 +25,571 +43,163 +53,748 +1.31% 744,585 1.49 Cr ▲ 11 1
Index Funds (single category)219 schemes Passive +5,072 +4,490 +16,086 +23,433 +32,426 +2.21% 243,482 87.30 L ▲ 12 10
Multi Cap25 schemes Equity +4,709 +2,645 +10,077 +17,357 +31,990 +3.39% 154,025 68.58 L ▲ 34 16
Arbitrage27 schemes Hybrid +3,837 +12,758 +30,496 +52,315 +107,620 +2.12% 180,071 5.19 L ▲ 3 14
Multi Asset Allocation24 schemes Hybrid +3,453 +3,161 +9,926 +23,730 +40,473 +4.46% 83,720 23.41 L ▲ 34 22
Flexi Cap39 schemes Equity +3,059 +3,155 +8,387 +16,185 +23,723 +0.82% 401,386 1.50 Cr ▲ 11 3
Large & Mid Cap29 schemes Equity +2,912 +2,397 +7,948 +16,650 +27,345 +1.30% 243,589 98.34 L ▲ 41 9
Mid Cap29 schemes Equity +2,528 +2,606 +6,927 +11,814 +24,418 +0.77% 359,426 1.53 Cr ▲ 40 5
Small Cap28 schemes Equity +2,263 +2,725 +7,197 +13,282 +36,449 +0.84% 296,408 2.03 Cr ▲ 3 7
Ultra Short to Short Term20 schemes Debt +2,199 +461 +10,418 +2,277 -3,708 +2.21% 102,366 8.48 L ▲ 3 19
Value / Contra (combined)23 schemes Equity +2,027 +1,404 +5,418 +10,836 +17,130 +1.26% 173,898 67.22 L ▲ 29 15
Equity Savings22 schemes Hybrid +1,003 +849 +3,147 +6,532 +12,751 +3.10% 34,154 4.24 L ▲ 14 27
Large Cap31 schemes Equity +970 +663 +1,991 +6,327 +4,737 +0.30% 345,362 1.41 Cr ▲ 6 6
Gold ETF17 schemes Passive +726 +827 +1,158 +3,186 +6,108 +2.29% 34,356 54.10 L ▲ 2 26
Balanced Advantage / Dynamic Asset Allocation33 schemes Hybrid +644 +1,279 +3,268 +7,627 +15,076 +0.25% 269,772 47.23 L ▲ 12 8
Dividend Yield9 schemes Equity +520 +445 +1,307 +2,105 +3,968 +2.00% 28,229 9.53 L ▲ 19 31
Long Term9 schemes Debt +281 +482 +1,344 +3,330 +4,191 +2.01% 14,423 66,641 ▲ 25 37
Medium to Long Term12 schemes Debt +128 +39.58 +215 +118 +249 +1.20% 10,895 99,224 ▲ 3 38
Retirement29 schemes Solution +125 +398 +700 +1,107 +1,895 +0.46% 28,713 29.24 L ▲ 41 30
Children's11 schemes Solution +59.03 +67.54 +196 +427 +866 +0.29% 21,249 29.97 L ▲ 42 36
Aggressive / Balanced Hybrid (combined)31 schemes Hybrid +48.52 +42.88 +108 +1,122 +1,602 +0.02% 214,272 54.80 L ▲ 6 12
Conservative Hybrid19 schemes Hybrid -131 -99.14 -238 -293 +119 -0.48% 27,781 5.42 L ▼ 3 32
Focused28 schemes Equity -287 -307 -921 -1,593 -2,888 -0.21% 143,382 50.70 L ▼ 3 18
Fund of Funds investing overseas55 schemes Fof Overseas -330 -352 -1,053 -1,489 -3,321 -1.32% 25,887 14.53 L ▼ 3 33
Dynamic Term22 schemes Debt -352 -138 +363 +294 +2.67 -1.08% 32,569 2.16 L ▼ 2 28
ELSS (Tax Saver)42 schemes Equity -445 -250 -839 +1,822 +1,119 -0.20% 239,022 1.64 Cr ▼ 3 11
Medium Term15 schemes Debt -462 -539 -1,426 -2,389 -4,186 -1.82% 24,983 2.20 L ▼ 14 34
Credit Risk14 schemes Debt -478 -540 -1,378 -2,368 -3,882 -2.13% 22,147 1.98 L ▼ 15 35
10-year Constant Maturity Gilt5 schemes Debt -846 +157 -339 -173 -69.63 -15.92% 4,488 36,681 ▼ 1 39
Floating Interest Rates13 schemes Debt -996 -546 +76.18 -4,486 -9,989 -1.87% 52,552 2.10 L ▼ 2 25
Short Term23 schemes Debt -1,094 -72.73 +1,366 -2,961 -3,857 -1.07% 102,082 4.39 L ▼ 2 20
Gilt21 schemes Debt -1,213 -171 +3,826 +4,240 +6,852 -3.71% 31,752 1.90 L ▼ 2 29
Ultra Short Term24 schemes Debt -2,327 +1,647 +10,425 +3,864 -8,098 -2.39% 95,660 6.31 L ▼ 1 21
Banking and PSU Debt22 schemes Debt -2,822 +40.11 -3,186 -3,935 -7,962 -3.46% 78,756 2.45 L ▼ 1 23
Corporate Bond21 schemes Debt -3,469 +687 +210 +4,248 +4,741 -2.27% 150,648 5.42 L ▼ 1 17
Overnight35 schemes Debt -25,143 +6,645 +2,697 -12,676 -30,332 -27.89% 65,517 8.63 L ▼ 1 24
Liquid36 schemes Debt -80,354 +25,873 +48,271 +23,410 -33,008 -16.14% 420,256 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 +9,860 +26,729 +59,856 778,941 ▲ 15
All index fundsIndex Funds +5,072 +16,086 +32,426 243,482 ▲ 12