ANOMALY WEALTHMutual Fund Intelligence Data throughAug 2026 Trade Intelligence ↗

Category flow explorer · Jan 2026

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 +24,029 Cr 12 months +3.34 lakh Cr
Debt net flow +74,827 Cr 12 months +65,854 Cr
Hybrid net flow +17,356 Cr 12 months +1.65 lakh Cr
Index funds & ETFs net flow +39,073 Cr 12 months +1.88 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
Overnight37 schemes Debt +46,280 +254 +8,910 +42,190 +26,401 +58.31% 126,200 7.35 L ▲ 2 24
Liquid42 schemes Debt +30,682 -47,308 -30,677 -20,694 -56,142 +6.10% 536,753 25.14 L ▲ 1 3
Gold ETF25 schemes Passive +24,040 +11,647 +39,428 +57,724 +63,250 +18.80% 184,277 1.14 Cr ▲ 9 18
Other ETFs (single category)289 schemes Passive +15,006 +13,199 +37,926 +59,503 +102,775 +1.55% 997,350 2.61 Cr ▲ 13 1
Money Market27 schemes Debt +12,763 -40,464 -16,597 -14,369 +57,841 +4.01% 332,152 5.24 L ▲ 1 8
Multi Asset Allocation33 schemes Hybrid +10,485 +7,426 +23,226 +37,081 +55,419 +6.37% 174,660 45.92 L ▲ 53 19
Flexi Cap44 schemes Equity +7,672 +10,019 +25,827 +49,464 +82,954 +1.39% 546,947 2.25 Cr ▲ 30 2
Ultra Short to Short Term24 schemes Debt +4,779 -10,246 -486 +6,254 +27,452 +3.25% 152,176 8.48 L ▲ 1 21
Arbitrage36 schemes Hybrid +3,293 +126 +7,612 +20,210 +71,320 +1.18% 276,654 7.62 L ▲ 4 12
Mid Cap31 schemes Equity +3,185 +4,176 +11,848 +26,071 +47,977 +0.69% 449,439 2.42 Cr ▲ 59 5
Large & Mid Cap33 schemes Equity +3,182 +4,094 +11,779 +22,087 +41,235 +0.96% 324,621 1.34 Cr ▲ 60 9
Small Cap34 schemes Equity +2,942 +3,824 +11,173 +24,005 +49,542 +0.80% 354,790 2.75 Cr ▲ 22 7
Large Cap33 schemes Equity +2,005 +1,567 +5,212 +11,338 +24,425 +0.48% 408,304 1.69 Cr ▲ 25 6
Multi Cap32 schemes Equity +1,995 +2,255 +6,713 +15,966 +33,573 +0.89% 216,445 1.13 Cr ▲ 53 15
Balanced Advantage / Dynamic Asset Allocation35 schemes Hybrid +1,839 +1,097 +4,347 +8,891 +16,846 +0.57% 319,903 56.24 L ▲ 31 11
Aggressive / Balanced Hybrid (combined)31 schemes Hybrid +1,678 +1,514 +4,577 +9,601 +14,089 +0.66% 249,182 61.77 L ▲ 9 13
Focused28 schemes Equity +1,557 +1,057 +4,654 +8,155 +15,232 +0.89% 171,535 54.50 L ▲ 16 20
Sectoral / Thematic (combined)240 schemes Equity +1,043 +946 +3,854 +10,334 +30,170 +0.19% 523,743 3.17 Cr ▲ 32 4
Value / Contra (combined)25 schemes Equity +993 +1,089 +3,301 +6,918 +13,429 +0.45% 214,215 88.86 L ▲ 8 16
Fund of Funds investing overseas52 schemes Fof Overseas +882 +147 +1,224 +3,500 +3,401 +2.41% 39,229 16.83 L ▲ 9 28
Floating Interest Rates12 schemes Debt +268 +722 +1,083 -911 -1,722 +0.51% 52,573 1.98 L ▲ 3 26
Ultra Short Term25 schemes Debt +255 -17,648 -9,032 -7,197 +12,677 +0.19% 132,482 7.69 L ▲ 1 23
Children's12 schemes Solution +237 +224 +675 +1,207 +2,023 +0.93% 25,230 32.12 L ▲ 61 35
Equity Savings25 schemes Hybrid +137 +711 +1,939 +4,767 +7,900 +0.27% 50,740 5.28 L ▲ 9 27
Retirement29 schemes Solution +105 +121 +332 +667 +1,211 +0.32% 32,044 30.50 L ▲ 60 32
Dividend Yield11 schemes Equity +47.83 -254 -484 -1,006 -624 +0.15% 32,451 12.03 L ▲ 1 31
Index Funds (single category)354 schemes Passive +27.30 +1,730 +3,485 +8,497 +22,208 +0.01% 320,494 1.45 Cr ▲ 31 10
10-year Constant Maturity Gilt5 schemes Debt -13.06 -103 -160 -18.29 -297 -0.27% 4,865 37,098 ▼ 5 39
Conservative Hybrid18 schemes Hybrid -77.21 -118 -290 -291 -344 -0.26% 29,527 5.76 L ▼ 3 33
Medium Term13 schemes Debt -108 -229 -351 -5.92 -706 -0.41% 26,229 2.41 L ▼ 3 34
Credit Risk14 schemes Debt -126 -173 -416 -999 -2,481 -0.63% 19,893 1.96 L ▼ 34 36
Medium to Long Term13 schemes Debt -174 -188 -371 -279 -680 -1.49% 11,513 1.01 L ▼ 3 38
ELSS (Tax Saver)41 schemes Equity -594 -718 -1,882 -2,796 -3,420 -0.23% 244,288 1.65 Cr ▼ 5 14
Banking and PSU Debt21 schemes Debt -1,219 -976 -3,047 -5,603 -6,011 -1.53% 78,170 2.39 L ▼ 3 25
Long Term11 schemes Debt -1,336 -1,303 -3,006 -3,950 -4,945 -7.59% 16,221 82,999 ▼ 4 37
Gilt23 schemes Debt -1,428 -796 -2,401 -4,876 -5,749 -3.71% 37,116 2.11 L ▼ 6 29
Dynamic Term22 schemes Debt -1,435 -843 -2,885 -2,993 -2,810 -3.97% 34,718 2.29 L ▼ 4 30
Short Term25 schemes Debt -2,889 -5,690 -6,473 -5,311 +12,902 -2.11% 133,810 5.64 L ▼ 2 22
Corporate Bond21 schemes Debt -11,473 -7,420 -17,367 -14,514 +10,125 -5.54% 195,400 5.77 L ▼ 2 17

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 +39,046 +77,355 +166,025 1,181,627 ▲ 13
All index fundsIndex Funds +27.30 +3,485 +22,208 320,494 ▲ 31