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 · Sep 2025 | Change | % change |
|---|---|---|---|---|
| Industry AUM | 79.88 lakh Cr | 75.61 lakh Cr | +4.27 lakh Cr | +5.6% |
| Total net flow | +2.16 lakh Cr | -43,146 Cr | +2.59 lakh Cr | — |
| Equity net flow | +24,690 Cr | +30,422 Cr | -5,731 Cr | — |
| Debt net flow | +1.60 lakh Cr | -1.02 lakh Cr | +2.62 lakh Cr | — |
| Hybrid net flow | +14,156 Cr | +9,397 Cr | +4,759 Cr | — |
| Passive (index funds & ETFs) net flow | +15,854 Cr | +18,095 Cr | -2,240 Cr | — |
| Other open-ended net flow | +1,075 Cr | +1,248 Cr | -173 Cr | — |
| SIPs, folios and NFOs | ||||
| SIP contribution | 29,529 Cr | 29,361 Cr | +168 Cr | +0.6% |
| SIP assets | 16.25 lakh Cr | 15.52 lakh Cr | +73,000 Cr | +4.7% |
| Contributing SIP accounts | 9.45 Cr | 9.25 Cr | +20.00 L | +2.2% |
| Folios | 25.60 Cr | 25.19 Cr | +40.81 L | +1.6% |
| NFO schemes | 18 | 9 | +9 | +100.0% |
| NFO mobilisation | 6,062 Cr | 1,959 Cr | +4,103 Cr | +209.4% |
| Equity holdings (disclosed portfolios) | ||||
| Companies in disclosed equity holdings | 1,221 | 1,072 | +149 | +13.9% |
| AMCs with disclosed holdings | 31 | 28 | +3 | +10.7% |
| Portfolios with disclosed equity | 755 | 617 | +138 | +22.4% |
“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% | 33.68 lakh Cr | 44.7% | -0.53 pp |
| Debt | 19.51 lakh Cr | 24.5% | 17.80 lakh Cr | 23.6% | +0.89 pp |
| Hybrid | 10.70 lakh Cr | 13.4% | 10.33 lakh Cr | 13.7% | -0.27 pp |
| Index funds & ETFs | 13.31 lakh Cr | 16.7% | 12.65 lakh Cr | 16.8% | -0.07 pp |
| Overseas fund of funds | 36,091 Cr | 0.5% | 34,424 Cr | 0.5% | -0.00 pp |
| Solution oriented | 57,726 Cr | 0.7% | 55,782 Cr | 0.7% | -0.02 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 Sep 2025 is Jul–Sep 2025. Official AMC-level net-flow data is not available from the validated source. AUM movement includes both investor flows and market movement.
Both months fall after the same published quarter, so there is no fund-house change to compare. Choose months at least a quarter apart.
Disclosed equity holdings
Number of AMCs disclosing the company. 31 AMCs reported in Oct 2025 and 28 in Sep 2025; a change in reporting coverage changes breadth too.