A · Oct 2025
Inflows
- Liquid+89,375 Cr
- Overnight+24,051 Cr
- Money Market+17,916 Cr
- Ultra Short Term+15,067 Cr
- Flexi Cap+8,929 Cr
Outflows
- Long Term-943 Cr
- Gilt-931 Cr
- ELSS (Tax Saver)-666 Cr
- Floating Interest Rates-263 Cr
- Dynamic Term-233 Cr
Historical comparison
Period A against period B, dataset by dataset. Fund-house assets compare quarters, never months.
A − B. Levels show a percentage change; flows can change sign, so only the absolute change is shown.
| Measure | A · Oct 2025 | B · Oct 2024 | Change | % change |
|---|---|---|---|---|
| Industry AUM | 79.88 lakh Cr | 67.26 lakh Cr | +12.62 lakh Cr | +18.8% |
| Total net flow | +2.16 lakh Cr | +2.40 lakh Cr | -24,172 Cr | — |
| Equity net flow | +24,690 Cr | +41,887 Cr | -17,196 Cr | — |
| Debt net flow | +1.60 lakh Cr | +1.57 lakh Cr | +2,556 Cr | — |
| Hybrid net flow | +14,156 Cr | +16,863 Cr | -2,707 Cr | — |
| Passive (index funds & ETFs) net flow | +15,854 Cr | +23,334 Cr | -7,480 Cr | — |
| Other open-ended net flow | +1,075 Cr | +420 Cr | +655 Cr | — |
| SIPs, folios and NFOs | ||||
| SIP contribution | 29,529 Cr | 25,323 Cr | +4,206 Cr | +16.6% |
| SIP assets | 16.25 lakh Cr | 13.30 lakh Cr | +2.95 lakh Cr | +22.2% |
| Contributing SIP accounts | 9.45 Cr | 7.94 Cr | +1.51 Cr | +19.0% |
| Folios | 25.60 Cr | 21.65 Cr | +3.95 Cr | +18.2% |
| NFO schemes | 18 | 29 | -11 | -37.9% |
| NFO mobilisation | 6,062 Cr | 6,078 Cr | -16.00 Cr | -0.3% |
| Equity holdings (disclosed portfolios) | ||||
| Companies in disclosed equity holdings | 1,221 | 1,039 | +182 | +17.5% |
| AMCs with disclosed holdings | 31 | 25 | +6 | +24.0% |
| Portfolios with disclosed equity | 755 | 597 | +158 | +26.5% |
“Not published”: AMFI or the disclosures do not cover that month for this dataset (for example SIP before June 2024, holdings before January 2022). It is never treated as zero.
Open-ended AUM by asset class, and each class’s share of the open-ended total
| Asset class | AUM · A | Share · A | AUM · B | Share · B | Share change |
|---|---|---|---|---|---|
| Equity | 35.17 lakh Cr | 44.2% | 29.89 lakh Cr | 44.6% | -0.46 pp |
| Debt | 19.51 lakh Cr | 24.5% | 16.64 lakh Cr | 24.8% | -0.33 pp |
| Hybrid | 10.70 lakh Cr | 13.4% | 8.73 lakh Cr | 13.0% | +0.41 pp |
| Index funds & ETFs | 13.31 lakh Cr | 16.7% | 10.95 lakh Cr | 16.3% | +0.36 pp |
| Overseas fund of funds | 36,091 Cr | 0.5% | 25,817 Cr | 0.4% | +0.07 pp |
| Solution oriented | 57,726 Cr | 0.7% | 52,209 Cr | 0.8% | -0.05 pp |
Asset shares move with markets as well as with flows; a rising share is not by itself an inflow.
Net flow · ₹ crore
Quarterly average AUM
Quarters, not months. A: latest quarter ended by Oct 2025 is Jul–Sep 2025. B: latest quarter ended by Oct 2024 is Jul–Sep 2024. Official AMC-level net-flow data is not available from the validated source. AUM movement includes both investor flows and market movement.
| Fund house | Share · Jul–Sep 2025 | Share · Jul–Sep 2024 | Change | Rank |
|---|---|---|---|---|
| SBI Mutual Fund | 15.55% | 16.59% | -1.04 pp | 1 |
| ICICI Prudential Mutual Fund | 13.15% | 12.70% | +0.45 pp | 2 |
| HDFC Mutual Fund | 11.43% | 11.46% | -0.03 pp | 3 |
| Nippon India Mutual Fund | 8.51% | 8.29% | +0.22 pp | 4 |
| Kotak Mahindra Mutual Fund | 7.21% | 7.10% | +0.11 pp | 5 |
| Aditya Birla Sun Life Mutual Fund | 5.51% | 5.79% | -0.28 pp | 6 |
| UTI Mutual Fund | 4.91% | 5.17% | -0.27 pp | 7 |
| Axis Mutual Fund | 4.55% | 4.72% | -0.16 pp | 8 |
| Tata Mutual Fund | 2.81% | 2.68% | +0.13 pp | 9was 11 |
| DSP Mutual Fund | 2.74% | 2.75% | -0.02 pp | 10 |
Fund houses present in both quarters. A merged house’s series ends; nothing is added to the acquirer.
Disclosed equity holdings
Number of AMCs disclosing the company. 31 AMCs reported in Oct 2025 and 25 in Oct 2024; a change in reporting coverage changes breadth too.