AMFI monthly flow · May 2020
Monthly mutual fund flows
Official investor money into and out of Indian mutual fund schemes, as published by AMFI. A separate dataset from the disclosed holdings on the rest of this site.
Net flow is funds mobilised less repurchase and redemption, as published. Assets under management move with market prices as well as with investor money, so an increase in assets is not evidence of an inflow. How this data works →
By asset class
Open-ended schemes · canonical asset classes · ₹ crore
- Equity +5,257 Cr
- Debt +63,666 Cr
- Hybrid +8,652 Cr
- Index funds & ETFs +2,395 Cr
- Overseas fund of funds +75.72 Cr
- Solution oriented +97.12 Cr
| Asset class | Gross | Redemptions | Net flow | 3-month | 6-month | 12-month | Streak |
|---|---|---|---|---|---|---|---|
| Equity | 12,950 | 7,693 | +5,257 | +23,192 | +46,365 | +85,240 | ▲ 14 |
| Debt | 830,660 | 766,995 | +63,666 | -87,818 | -84,878 | -88,721 | ▲ 2 |
| Hybrid | 15,205 | 6,553 | +8,652 | -23,603 | -25,533 | -10,561 | ▲ 2 |
| Index funds & ETFs | 6,877 | 4,481 | +2,395 | +10,298 | +43,701 | +71,647 | ▲ 9 |
| Overseas fund of funds | 255 | 179 | +75.72 | +378 | +708 | +1,006 | ▲ 14 |
| Solution oriented | 166 | 69.25 | +97.12 | +249 | +1,415 | +2,302 | ▲ 14 |
Passive is index funds and ETFs; overseas fund of funds is shown on its own. Streak counts consecutive months of inflow (▲) or outflow (▼).
Flow and asset history
Apr 2019 onward · 89 published months
Loading published flow history…
Largest category inflows
May 2020- 01 Liquid FundDebt · prior month +68,848 +61,871
- 02 Arbitrage FundHybrid · prior month +6,587 +10,806
- 03 Banking and PSU FundDebt · prior month +6,561 +8,873
- 04 Money Market FundDebt · prior month -1,210 +5,010
- 05 Corporate Bond FundDebt · prior month +4,169 +3,832
- 06 Short Duration FundDebt · prior month -2,309 +2,040
Largest category outflows
May 2020- 01 Overnight FundDebt · prior month +2,603 -15,881
- 02 Credit Risk FundDebt · prior month -19,239 -5,173
- 03 Medium Duration FundDebt · prior month -6,364 -1,520
- 04 Balanced Hybrid Fund/Aggressive Hybrid FundHybrid · prior month -852 -978
- 05 Dynamic Asset Allocation/Balanced AdvantageHybrid · prior month -464 -401
- 06 Equity SavingsHybrid · prior month -452 -393
Ranked on AMFI net flow for the selected month. These are investor subscriptions less redemptions in a scheme category — not buying or selling of any company’s shares.
Open-ended scheme categories
May 2020 · every category AMFI published, in ₹ crore
| Category | Group | Net flow | Previous month | Change | 3-month | 12-month | Assets | Continuity |
|---|---|---|---|---|---|---|---|---|
| Liquid Fund39 schemes · 1,931,298 folios | Debt | +61,871 | +68,848 | -6,977 | +20,682 | -102,772 | 469,086 | Since Apr 2019 |
| Arbitrage Fund25 schemes · 298,370 folios | Hybrid | +10,806 | +6,587 | +4,219 | -16,374 | +12,993 | 69,311 | Since Apr 2019 |
| Banking and PSU Fund19 schemes · 205,507 folios | Debt | +8,873 | +6,561 | +2,312 | +9,130 | +43,772 | 89,945 | Since Apr 2019 |
| Money Market Fund20 schemes · 360,688 folios | Debt | +5,010 | -1,210 | +6,221 | -23,602 | -6,599 | 61,764 | Since Apr 2019 |
| Corporate Bond Fund20 schemes · 412,385 folios | Debt | +3,832 | +4,169 | -337 | +4,209 | +20,964 | 91,980 | Since Apr 2019 |
| Short Duration Fund28 schemes · 360,347 folios | Debt | +2,040 | -2,309 | +4,349 | -11,307 | +6,853 | 94,950 | Since Apr 2019 |
| Gilt Fund21 schemes · 169,884 folios | Debt | +1,947 | +2,516 | -569 | +5,209 | +5,257 | 14,234 | Since Apr 2019 |
| Large Cap Fund29 schemes · 10,308,982 folios | Equity | +1,556 | +1,691 | -136 | +5,307 | +19,149 | 128,750 | Since Apr 2019 |
| Ultra Short Duration Fund29 schemes · 625,000 folios | Debt | +1,525 | -3,419 | +4,944 | -30,948 | -23,676 | 71,206 | Since Apr 2019 |
| Other ETFs76 schemes · 2,163,072 folios | Passive & other | +1,018 | -179 | +1,197 | +5,673 | +62,475 | 160,313 | Since Apr 2019 |
| GOLD ETF11 schemes · 599,931 folios | Passive & other | +815 | +731 | +84.11 | +1,351 | +3,195 | 10,102 | Since Apr 2019 |
| Multi Cap Fund34 schemes · 9,437,191 folios | Equity | +759 | +1,240 | -482 | +4,267 | +15,037 | 127,304 | Since Apr 2019 |
| ELSS42 schemes · 12,420,500 folios | Equity | +712 | +752 | -40.04 | +3,016 | +8,677 | 83,455 | Since Apr 2019 |
| Large & Mid Cap Fund27 schemes · 4,798,925 folios | Equity | +704 | +346 | +357 | +1,909 | +6,084 | 48,664 | Since Apr 2019 |
| Focused Fund22 schemes · 3,654,861 folios | Equity | +670 | +743 | -73.39 | +3,407 | +12,821 | 44,326 | Since Apr 2019 |
| Index Funds35 schemes · 669,338 folios | Passive & other | +563 | +635 | -72.25 | +3,274 | +5,976 | 10,297 | Since Apr 2019 |
| Floater Fund7 schemes · 149,032 folios | Debt | +332 | -932 | +1,264 | -6,349 | -542 | 32,481 | Since Apr 2019 |
| Low Duration Fund26 schemes · 932,870 folios | Debt | +301 | -6,841 | +7,142 | -26,461 | -17,881 | 75,907 | Since Apr 2019 |
| Small Cap Fund23 schemes · 5,168,647 folios | Equity | +293 | +384 | -91.30 | +840 | +8,737 | 39,648 | Since Apr 2019 |
| Long Duration Fund2 schemes · 28,858 folios | Debt | +283 | +302 | -18.91 | +642 | +837 | 2,323 | Since Apr 2019 |
| Mid Cap Fund26 schemes · 6,558,596 folios | Equity | +280 | +497 | -217 | +2,010 | +12,531 | 73,352 | Since Apr 2019 |
| Sectoral/Thematic Funds95 schemes · 6,682,006 folios | Equity | +197 | +422 | -224 | +1,413 | +4,260 | 56,023 | Since Apr 2019 |
| Medium to Long Duration Fund14 schemes · 109,523 folios | Debt | +157 | -191 | +348 | -626 | -972 | 10,024 | Since Apr 2019 |
| Gilt Fund with 10 year constant duration4 schemes · 44,301 folios | Debt | +143 | +93.23 | +49.42 | +319 | +606 | 1,219 | Since Apr 2019 |
| Value Fund/Contra Fund17 schemes · 4,126,797 folios | Equity | +92.74 | +141 | -48.58 | +1,063 | -1,727 | 45,623 | Since Apr 2019 |
| Fund of funds investing overseas28 schemes · 215,036 folios | Passive & other | +75.72 | +106 | -29.82 | +378 | +1,006 | 3,550 | Since Apr 2019 |
| Retirement Fund24 schemes · 2,546,671 folios | Solution oriented | +57.10 | +44.56 | +12.54 | +135 | +1,898 | 9,234 | Since Apr 2019 |
| Childrens Fund9 schemes · 2,891,676 folios | Solution oriented | +40.02 | +38.41 | +1.61 | +114 | +404 | 7,776 | Since Apr 2019 |
| Dividend Yield Fund6 schemes · 469,299 folios | Equity | -5.98 | -4.83 | -1.14 | -39.91 | -328 | 3,629 | Since Apr 2019 |
| Multi Asset Allocation8 schemes · 631,888 folios | Hybrid | -40.00 | -28.52 | -11.47 | +207 | +933 | 10,765 | Since Apr 2019 |
| Dynamic Bond Fund29 schemes · 214,892 folios | Debt | -75.14 | -1,155 | +1,080 | -2,063 | -3,729 | 17,229 | Since Apr 2019 |
| Conservative Hybrid Fund22 schemes · 379,289 folios | Hybrid | -342 | -586 | +244 | -1,334 | -4,102 | 10,495 | Since Apr 2019 |
| Equity Savings23 schemes · 326,440 folios | Hybrid | -393 | -452 | +59.68 | -1,634 | -6,320 | 10,955 | Since Apr 2019 |
| Dynamic Asset Allocation/Balanced Advantage23 schemes · 2,671,522 folios | Hybrid | -401 | -464 | +62.40 | -1,122 | +4,715 | 81,510 | Since Apr 2019 |
| Balanced Hybrid Fund/Aggressive Hybrid Fund33 schemes · 5,258,218 folios | Hybrid | -978 | -852 | -126 | -3,346 | -18,779 | 107,221 | Since Apr 2019 |
| Medium Duration Fund18 schemes · 196,713 folios | Debt | -1,520 | -6,364 | +4,844 | -10,047 | -15,742 | 20,210 | Since Apr 2019 |
| Credit Risk Fund23 schemes · 377,448 folios | Debt | -5,173 | -19,239 | +14,066 | -29,981 | -47,030 | 30,469 | Since Apr 2019 |
| Overnight Fund30 schemes · 127,427 folios | Debt | -15,881 | +2,603 | -18,484 | +13,375 | +51,933 | 67,299 | Since Apr 2019 |
Close-ended and interval schemes are published separately by AMFI and are not listed here; they are included in the industry totals above.
Flows and holdings, side by side
May 2020 · two separate datasets
Not attribution. Category flows and security-level holding changes are separate datasets and cannot be directly attributed without transaction-level evidence. Nothing below allocates flow to any company.
Disclosed holdings are not available for May 2020; the holdings dataset covers Jan 2022 – Aug 2026.
How to read these flows
Flow is not holdings activity. AMFI net flow is investor money entering or leaving a scheme category. The rest of this site describes shares that portfolios disclosed at consecutive month-ends. The two are sourced differently, answer different questions, and are never combined.
AMFI publishes these figures for the industry and for each SEBI scheme category. It does not publish flow by asset management company in this report, so none is shown. Category flow begins in April 2019, when the report adopted the SEBI categories; earlier months use a sponsor-group report with a different taxonomy and are not carried.
AMFI re-labelled the category tree in August 2026, splitting value from contra, sectoral from thematic, and index and exchange traded funds by asset class. A renamed category starts a new series rather than inheriting the history of the old name, which is why some rows show no previous month.
Full methodology →