ANOMALY WEALTHMutual Fund Intelligence Data throughAug 2026 Trade Intelligence ↗

Category flow explorer · Jan 2025

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 +39,688 Cr 12 months +4.12 lakh Cr
Debt net flow +1.29 lakh Cr 12 months +2.13 lakh Cr
Hybrid net flow +8,768 Cr 12 months +1.37 lakh Cr
Index funds & ETFs net flow +10,178 Cr 12 months +1.41 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
Liquid37 schemes Debt +91,593 -66,532 +23,282 +48,074 +92,078 +19.71% 559,393 18.59 L ▲ 1 2
Money Market23 schemes Debt +21,916 -25,843 -1,501 +10,475 +82,576 +9.52% 253,709 4.31 L ▲ 1 11
Overnight34 schemes Debt +18,937 -22,348 -1,392 +20,135 +2,916 +25.53% 93,682 6.30 L ▲ 1 23
Sectoral / Thematic (combined)205 schemes Equity +9,017 +15,332 +32,006 +75,656 +159,954 +1.91% 460,921 3.04 Cr ▲ 20 3
Small Cap30 schemes Equity +5,721 +4,668 +14,500 +24,553 +36,687 +1.74% 305,580 2.46 Cr ▲ 10 7
Flexi Cap39 schemes Equity +5,698 +4,731 +15,512 +27,421 +44,212 +1.30% 429,128 1.73 Cr ▲ 18 4
Index Funds (single category)286 schemes Passive +5,255 +4,786 +14,383 +27,522 +55,987 +1.91% 276,120 1.28 Cr ▲ 19 9
Mid Cap29 schemes Equity +5,148 +5,093 +15,125 +25,993 +37,389 +1.29% 373,184 2.05 Cr ▲ 47 5
Arbitrage31 schemes Hybrid +4,292 -409 +2,530 +8,552 +61,273 +2.19% 200,305 5.81 L ▲ 1 14
Large & Mid Cap31 schemes Equity +4,123 +3,812 +12,615 +24,363 +41,306 +1.52% 260,828 1.16 Cr ▲ 48 10
Gold ETF18 schemes Passive +3,751 +640 +5,648 +10,454 +14,320 +8.41% 51,839 64.97 L ▲ 9 25
Multi Cap29 schemes Equity +3,567 +3,075 +10,269 +19,850 +41,253 +1.97% 173,766 91.24 L ▲ 41 16
Large Cap32 schemes Equity +3,063 +2,011 +7,622 +15,481 +21,191 +0.85% 354,366 1.57 Cr ▲ 13 6
Multi Asset Allocation27 schemes Hybrid +2,123 +2,575 +7,141 +17,835 +37,612 +2.05% 103,812 29.05 L ▲ 41 22
Value / Contra (combined)23 schemes Equity +1,556 +1,514 +5,158 +11,307 +22,472 +0.83% 183,300 81.06 L ▲ 36 15
Balanced Advantage / Dynamic Asset Allocation34 schemes Hybrid +1,512 +1,596 +4,678 +12,053 +20,137 +0.53% 282,864 50.90 L ▲ 19 8
Other ETFs (single category)217 schemes Passive +1,172 -4,558 -1,855 +22,061 +70,440 +0.15% 762,903 1.92 Cr ▲ 1 1
Ultra Short Term25 schemes Debt +1,048 -2,410 +1,600 +3,067 +12,202 +0.95% 111,403 6.47 L ▲ 1 21
ELSS (Tax Saver)43 schemes Equity +797 +188 +1,604 +1,433 +2,084 +0.33% 232,192 1.69 Cr ▲ 4 12
Focused28 schemes Equity +783 +456 +1,669 +2,006 -5.36 +0.54% 142,450 51.79 L ▲ 4 18
Ultra Short to Short Term20 schemes Debt +665 -4,311 +729 +6,618 +8,681 +0.58% 115,582 8.18 L ▲ 1 19
Aggressive / Balanced Hybrid (combined)31 schemes Hybrid +633 +328 +1,875 +4,083 +4,952 +0.29% 218,007 57.35 L ▲ 13 13
Equity Savings22 schemes Hybrid +402 +451 +1,438 +6,912 +13,608 +0.96% 42,161 4.75 L ▲ 21 27
Dividend Yield10 schemes Equity +215 +277 +707 +3,270 +5,624 +0.68% 31,049 11.85 L ▲ 26 30
Long Term11 schemes Debt +201 +680 +961 +4,550 +8,084 +0.99% 20,556 89,737 ▲ 32 37
Children's12 schemes Solution +141 +201 +495 +805 +1,222 +0.62% 22,064 30.60 L ▲ 49 35
Retirement29 schemes Solution +102 +133 +401 +877 +1,973 +0.34% 29,196 29.89 L ▲ 48 31
Fund of Funds investing overseas54 schemes Fof Overseas +77.53 -83.45 -75.40 -655 -2,276 +0.29% 28,065 13.71 L ▲ 1 33
10-year Constant Maturity Gilt5 schemes Debt -22.77 -279 -27.26 +145 -136 -0.47% 4,851 35,624 ▼ 2 39
Banking and PSU Debt22 schemes Debt -114 -339 -712 -3,303 -7,045 -0.15% 78,681 2.36 L ▼ 3 24
Dynamic Term22 schemes Debt -115 -450 -251 +957 +1,520 -0.33% 35,388 2.23 L ▼ 2 29
Medium to Long Term13 schemes Debt -169 +152 -260 +105 +261 -1.44% 11,599 1.02 L ▼ 1 38
Conservative Hybrid18 schemes Hybrid -194 -170 -401 -404 -718 -0.68% 28,172 5.47 L ▼ 3 32
Corporate Bond21 schemes Debt -217 -820 +1,100 +11,451 +16,659 -0.13% 172,235 5.30 L ▼ 2 17
Medium Term13 schemes Debt -220 -576 -998 -785 -3,333 -0.88% 24,979 2.11 L ▼ 4 34
Credit Risk14 schemes Debt -294 -356 -845 -2,077 -4,685 -1.42% 20,601 1.82 L ▼ 22 36
Floating Interest Rates12 schemes Debt -1,129 -1,483 -2,954 -4,695 -10,088 -2.20% 50,585 1.97 L ▼ 3 26
Gilt22 schemes Debt -1,360 +343 +786 +6,381 +11,470 -3.22% 41,124 2.12 L ▼ 1 28
Short Term24 schemes Debt -2,066 -2,581 -5,101 +2,056 +1,920 -1.82% 111,949 4.45 L ▼ 3 20

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 +4,923 +3,793 +84,761 814,742 ▲ 1
All index fundsIndex Funds +5,255 +14,383 +55,987 276,120 ▲ 19