ANOMALY WEALTHMutual Fund Intelligence Data throughAug 2026 Trade Intelligence ↗

Category flow explorer · Aug 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 +33,430 Cr 12 months +3.90 lakh Cr
Debt net flow -7,980 Cr 12 months +1.49 lakh Cr
Hybrid net flow +15,294 Cr 12 months +1.39 lakh Cr
Index funds & ETFs net flow +10,936 Cr 12 months +1.19 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
Flexi Cap41 schemes Equity +7,679 +7,654 +21,067 +36,065 +65,077 +1.56% 495,446 1.98 Cr ▲ 25 4
Other ETFs (single category)258 schemes Passive +7,244 +4,477 +12,565 +46,671 +62,484 +0.86% 842,201 2.13 Cr ▲ 8 1
Arbitrage33 schemes Hybrid +6,667 +7,296 +29,547 +54,185 +63,956 +2.60% 258,923 6.82 L ▲ 5 12
Mid Cap31 schemes Equity +5,331 +5,182 +14,268 +23,829 +50,174 +1.24% 426,623 2.30 Cr ▲ 54 5
Small Cap31 schemes Equity +4,993 +6,484 +15,502 +26,808 +51,874 +1.40% 350,555 2.66 Cr ▲ 17 7
Overnight37 schemes Debt +4,951 +8,866 +5,662 -8,574 -5,809 +6.12% 86,297 7.17 L ▲ 2 23
Sectoral / Thematic (combined)226 schemes Equity +3,893 +9,426 +13,795 +18,018 +81,269 +0.76% 506,572 3.19 Cr ▲ 27 3
Multi Asset Allocation30 schemes Hybrid +3,528 +6,197 +12,935 +19,638 +36,875 +2.75% 132,104 35.61 L ▲ 48 22
Large & Mid Cap33 schemes Equity +3,326 +5,035 +11,857 +19,818 +43,544 +1.10% 299,335 1.27 Cr ▲ 55 11
Multi Cap32 schemes Equity +3,193 +3,991 +9,978 +18,282 +38,175 +1.56% 205,141 1.06 Cr ▲ 48 15
Large Cap33 schemes Equity +2,835 +2,125 +6,654 +13,056 +28,766 +0.72% 389,983 1.65 Cr ▲ 20 6
Balanced Advantage / Dynamic Asset Allocation35 schemes Hybrid +2,316 +2,611 +6,813 +9,607 +19,109 +0.76% 304,727 54.75 L ▲ 26 9
Money Market25 schemes Debt +2,211 +44,574 +56,268 +77,697 +74,803 +0.66% 340,868 5.16 L ▲ 5 8
Gold ETF21 schemes Passive +2,190 +1,256 +5,526 +5,735 +16,558 +3.24% 72,496 80.34 L ▲ 4 25
Aggressive / Balanced Hybrid (combined)31 schemes Hybrid +1,870 +2,364 +5,565 +6,049 +10,121 +0.79% 236,818 59.65 L ▲ 4 14
Index Funds (single category)341 schemes Passive +1,503 +2,330 +4,876 +11,036 +39,488 +0.49% 304,235 1.40 Cr ▲ 26 10
Focused28 schemes Equity +1,155 +1,606 +3,726 +6,944 +10,321 +0.72% 159,952 53.25 L ▲ 11 18
Value / Contra (combined)24 schemes Equity +1,141 +1,470 +3,770 +6,305 +17,232 +0.57% 198,970 86.13 L ▲ 3 17
Equity Savings25 schemes Hybrid +869 +2,104 +4,045 +3,912 +9,457 +1.90% 46,236 5.10 L ▲ 4 27
Short Term24 schemes Debt +565 +1,829 +12,671 +18,049 +16,474 +0.42% 136,583 5.18 L ▲ 5 21
Fund of Funds investing overseas52 schemes Fof Overseas +501 +197 +726 +155 +99.65 +1.66% 31,358 14.16 L ▲ 4 31
Ultra Short to Short Term23 schemes Debt +477 +9,766 +13,379 +24,500 +28,683 +0.34% 142,934 8.57 L ▲ 5 19
Ultra Short Term25 schemes Debt +374 +2,277 +5,594 +24,529 +22,619 +0.27% 136,834 7.33 L ▲ 5 20
Children's12 schemes Solution +186 +164 +477 +865 +1,712 +0.77% 23,925 31.31 L ▲ 56 35
10-year Constant Maturity Gilt5 schemes Debt +168 -126 -99.82 -198 -4.06 +3.49% 4,935 39,073 ▲ 1 39
Retirement29 schemes Solution +134 +119 +332 +569 +1,423 +0.43% 31,058 30.22 L ▲ 55 32
Medium Term13 schemes Debt +112 +23.98 +74.97 -410 -1,430 +0.44% 25,590 2.33 L ▲ 2 34
ELSS (Tax Saver)43 schemes Equity +59.15 -368 -865 -1,180 +1,073 +0.02% 243,982 1.69 Cr ▲ 1 13
Conservative Hybrid18 schemes Hybrid +43.62 +308 +490 +71.83 -227 +0.15% 29,268 5.71 L ▲ 4 33
Medium to Long Term13 schemes Debt -27.89 -221 -315 -486 -429 -0.24% 11,520 1.05 L ▼ 3 38
Long Term11 schemes Debt -62.18 -416 -925 -895 +2,510 -0.31% 19,720 94,316 ▼ 3 37
Dividend Yield10 schemes Equity -175 +96.65 -32.49 +139 +2,977 -0.54% 31,986 12.05 L ▼ 1 30
Floating Interest Rates12 schemes Debt -205 +164 +190 -674 -5,035 -0.39% 52,031 2.00 L ▼ 1 26
Credit Risk14 schemes Debt -244 -272 -683 -1,527 -3,412 -1.20% 20,028 1.87 L ▼ 29 36
Dynamic Term22 schemes Debt -395 +62.55 -288 -105 +167 -1.06% 36,424 2.40 L ▼ 1 29
Banking and PSU Debt22 schemes Debt -800 -662 -1,224 -1,683 -2,962 -0.98% 81,161 2.41 L ▼ 2 24
Corporate Bond21 schemes Debt -825 +1,422 +7,721 +22,749 +34,597 -0.40% 204,712 5.66 L ▼ 1 16
Gilt23 schemes Debt -928 +160 -1,726 -1,523 +2,677 -2.22% 40,090 2.30 L ▼ 1 28
Liquid39 schemes Debt -13,350 +39,355 +809 -53,774 -14,318 -2.46% 531,547 21.31 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 +9,434 +18,092 +79,042 914,697 ▲ 8
All index fundsIndex Funds +1,503 +4,876 +39,488 304,235 ▲ 26