ANOMALY WEALTHMutual Fund Intelligence Data throughAug 2026 Trade Intelligence ↗

India mutual fund monitor

June 2022

Flows, assets, SIPs, fund-house structure and equity ownership activity. Each dataset keeps its own period; the status at the foot of the page lists them.

Flows & AUM Jun 2022 SIP not published for Jun 2022 NFO Jun 2022 Fund-house assets Apr–Jun 2022 (quarterly) Holdings Jun 2022

Industry AUM 35.64 lakh Cr Change -1.58 lakh Cr, incl. market movement
Total net flow -69,853 Cr Previous month -7,533 Cr
Equity net flow +15,498 Cr 16 consecutive inflow months
Debt net flow -92,248 Cr Debt-oriented schemes
Hybrid net flow -2,279 Cr Hybrid schemes
Passive net flow +12,795 Cr Index funds & ETFs · other +453 Cr
SIP contribution Not published for this period
Folios 13.47 Cr +13.13 L on the month

AMFI monthly report, Jun 2022. Total net flow covers all schemes; the asset-class figures are open-ended schemes. -88,067 Cr of the AUM change came from market movement and other effects, not investor money.

1 · Where money moved

Net flow by asset class · open-ended schemes · ₹ crore

Flows for Jun 2022 →
  • Equity +15,498 Cr
  • Debt -92,248 Cr
  • Hybrid -2,279 Cr
  • Index funds & ETFs +12,795 Cr
  • Overseas fund of funds +315 Cr
  • Solution oriented +137 Cr
Asset classThis monthPrevious3 months12 months
Equity +15,498 +18,529 +49,918 +194,814
Debt -92,248 -32,722 -70,213 -198,526
Hybrid -2,279 +5,123 +10,084 +78,084
Index funds & ETFs +12,795 +11,983 +40,602 +152,411
Overseas fund of funds +315 +246 +624 +7,387
Solution oriented +137 +160 +409 +1,452

3- and 12-month sums appear only where the series is unbroken; “—” means the window crosses a new classification.

2 · Category winners and losers

SEBI scheme categories · Jun 2022

All categories →

Largest category inflows

CategoryNet flow% of AUM3 months12 months
Index Funds (single category)Passive +7,301 +9.35% +19,086 +59,762
Other ETFs (single category)Passive +5,359 +1.31% +20,077 +89,998
Flexi CapEquity +2,512 +1.15% +7,159 +40,558
Large CapEquity +2,130 +0.97% +5,875 +17,583
Large & Mid CapEquity +1,995 +1.83% +6,458 +18,839
Mid CapEquity +1,852 +1.19% +5,233 +17,486
Balanced Advantage / Dynamic Asset AllocationHybrid +1,799 +1.00% +5,590 +57,467
Sectoral / Thematic (combined)Equity +1,678 +1.14% +7,813 +30,892

Investor money into and out of each category. It is not attributed to any stock.

3 · Fund-house market structure

Average AUM · quarterly

AMC explorer →

Fund-house data: Apr–Jun 2022 quarter. AMFI publishes fund-house assets as quarterly averages. This is the latest quarter that had ended by Jun 2022; it is not a June observation and nothing is interpolated. A later quarter (Apr–Jun 2026) is available on the AMC explorer.

Fund houseAverage AUMMarket shareΔ quarterRank
SBI Mutual Fund 6.47 lakh Cr 17.16% +0.29 pp 1
ICICI Prudential Mutual Fund 4.65 lakh Cr 12.33% +0.13 pp 2
HDFC Mutual Fund 4.15 lakh Cr 11.01% -0.26 pp 3
Kotak Mahindra Mutual Fund 2.82 lakh Cr 7.47% +0.05 pp 4was 5
Aditya Birla Sun Life Mutual Fund 2.82 lakh Cr 7.46% -0.25 pp 5was 4
Nippon India Mutual Fund 2.79 lakh Cr 7.40% +0.02 pp 6
Axis Mutual Fund 2.46 lakh Cr 6.51% -0.27 pp 7
UTI Mutual Fund 2.24 lakh Cr 5.94% +0.11 pp 8
Bandhan Mutual Fund 1.17 lakh Cr 3.10% -0.06 pp 9
DSP Mutual Fund 1.07 lakh Cr 2.82% +0.01 pp 10

Biggest share gainers · quarter

  1. SBI Mutual Fund+0.29 pp
  2. ICICI Prudential Mutual Fund+0.13 pp
  3. Edelweiss Mutual Fund+0.12 pp
  4. UTI Mutual Fund+0.11 pp
  5. Tata Mutual Fund+0.08 pp

Biggest share decliners · quarter

  1. Axis Mutual Fund-0.27 pp
  2. HDFC Mutual Fund-0.26 pp
  3. Aditya Birla Sun Life Mutual Fund-0.25 pp
  4. Franklin Templeton Mutual Fund-0.08 pp
  5. Invesco Mutual Fund-0.08 pp

Rank changes among the top 30

  1. Kotak Mahindra Mutual Fund5 → 4
  2. Aditya Birla Sun Life Mutual Fund4 → 5
  3. quant Mutual Fund27 → 26
  4. Union Mutual Fund26 → 27

Official AMC-level net-flow data is not available from the validated source. AUM movement includes both investor flows and market movement.

4 · SIPs & retail participation

AMFI Monthly Note (SIP) and monthly report (folios)

SIP & investors →
SIP contribution Not published for this period
SIP contribution · 12 months Not published for this period
SIP assets Not published for this period
Contributing SIP accounts Not published for this period
Folios 13.47 Cr +13.13 L on the month · +31.3% on a year ago

SIP contribution is published from June 2024 and SIP assets from January 2024; contributing accounts from September 2024. Earlier months show “Not published for this period”, never zero.

5 · New fund offers

New Schemes sheet of the AMFI monthly report · Jun 2022

NFO history →
0new schemes allotted 0.00 Crmobilised Part of this month’s gross mobilisation — shown separately, never added to category net flow.

AMFI reported no new scheme allotment in Jun 2022.

6 · Equity ownership activity

Disclosed holdings · like-for-like portfolios · Jun 2022

Activity explorer →
753companies held 16AMCs reporting 554new positions 653complete exits

Most AMCs increasing

CompanyAMCs
  1. 01 Havells India Limited41 comparable portfolios 11
  2. 02 Maruti Suzuki India Limited130 comparable portfolios 11
  3. 03 Grasim Industries Limited77 comparable portfolios 11
  4. 04 Gland Pharma Limited97 comparable portfolios 11
  5. 05 Titan Company Limited93 comparable portfolios 11
  6. 06 Vedanta Limited39 comparable portfolios 10
  7. 07 Britannia Industries Limited57 comparable portfolios 10
  8. 08 InterGlobe Aviation Limited37 comparable portfolios 10
  9. 09 Asian Paints Limited77 comparable portfolios 10
  10. 10 Hindustan Petroleum Corporation Limited62 comparable portfolios 10

Most AMCs reducing

CompanyAMCs
  1. 01 Ambuja Cements Limited73 comparable portfolios 8
  2. 02 Divi's Laboratories Limited82 comparable portfolios 8
  3. 03 Larsen & Toubro Limited165 comparable portfolios 8
  4. 04 HDFC Bank Limited195 comparable portfolios 8
  5. 05 ACC Limited59 comparable portfolios 7
  6. 06 MphasiS Limited70 comparable portfolios 7
  7. 07 Ashok Leyland Limited82 comparable portfolios 7
  8. 08 State Bank of India185 comparable portfolios 7
  9. 09 ICICI Bank Limited212 comparable portfolios 7
  10. 10 ITC Limited112 comparable portfolios 7

Largest comparable holding increases

CompanyShares
  1. 01 Coal India Limited+21.2% · 61 portfolios +4.60 Cr
  2. 02 Oil & Natural Gas Corporation Limited+16.6% · 73 portfolios +4.53 Cr
  3. 03 IDFC First Bank Limited+16.3% · 24 portfolios +2.08 Cr
  4. 04 NTPC Limited+2.6% · 114 portfolios +1.31 Cr
  5. 05 Vedanta Limited+41.5% · 39 portfolios +1.07 Cr
  6. 06 The Federal Bank Limited+3.4% · 44 portfolios +82.53 L
  7. 07 IDFC LIMITED+12.6% · 28 portfolios +59.91 L
  8. 08 Hindustan Petroleum Corporation Limited+22.6% · 62 portfolios +54.07 L
  9. 09 Zee Entertainment Enterprises Limited+6.5% · 44 portfolios +49.18 L
  10. 10 Tata Motors Passenger Vehicles Limited+4.9% · 113 portfolios +45.60 L

Largest comparable holding decreases

CompanyShares
  1. 01 ETERNAL LIMITED-25.4% · 33 portfolios -2.49 Cr
  2. 02 L&T Finance Limited-61.6% · 14 portfolios -1.30 Cr
  3. 03 Vodafone Idea Limited-5.9% · 11 portfolios -97.16 L
  4. 04 RBL Bank Limited-30.5% · 20 portfolios -74.85 L
  5. 05 GMR AIRPORTS LIMITED-14.0% · 17 portfolios -74.46 L
  6. 06 Ashok Leyland Limited-3.0% · 82 portfolios -68.21 L
  7. 07 Motherson Sumi Wiring India Limited-7.6% · 26 portfolios -59.90 L
  8. 08 Ambuja Cements Limited-12.0% · 73 portfolios -56.24 L
  9. 09 NCC Limited-9.0% · 10 portfolios -50.45 L
  10. 10 City Union Bank Limited-5.2% · 36 portfolios -44.15 L

Most new positions

CompanyPositions
  1. 01 ICICI Lombard General Insurance Company Limited83 comparable portfolios 21
  2. 02 Hindustan Petroleum Corporation Limited62 comparable portfolios 16
  3. 03 Bharat Electronics Limited78 comparable portfolios 15
  4. 04 Anupam Rasayan India Limited28 comparable portfolios 15
  5. 05 TATA CONSUMER PRODUCTS LIMITED92 comparable portfolios 11
  6. 06 Maruti Suzuki India Limited130 comparable portfolios 11
  7. 07 Siemens Limited45 comparable portfolios 10
  8. 08 Mahindra & Mahindra Limited113 comparable portfolios 9
  9. 09 HDFC Asset Management Company Limited33 comparable portfolios 9
  10. 10 NTPC Limited114 comparable portfolios 9

Most complete exits

CompanyExits
  1. 01 Himatsingka Seide Limited27 comparable portfolios 15
  2. 02 Restaurant Brands Asia Limited26 comparable portfolios 15
  3. 03 HeidelbergCement India Limited16 comparable portfolios 14
  4. 04 Life Insurance Corporation Of India61 comparable portfolios 13
  5. 05 Shriram Finance Limited22 comparable portfolios 13
  6. 06 Ambuja Cements Limited73 comparable portfolios 12
  7. 07 Coal India Limited61 comparable portfolios 12
  8. 08 Hikal Limited13 comparable portfolios 11
  9. 09 Tata Motors Passenger Vehicles Limited113 comparable portfolios 9
  10. 10 Coforge Limited44 comparable portfolios 9

Comparable lists need at least 10 portfolios observed in both months and exclude companies under corporate-action review. Share changes are quantities, not cash flows, and category flows are never attributed to these stocks.

7 · Data status

What each figure on this page refers to

Full data status →
DatasetPeriod on this pageFrequencyLatest available
Flows, AUM, foliosJun 2022MonthlyAug 2026
SIP contribution & assetsNot published for this periodMonthly (from Jun 2024)Aug 2026
New fund offersJun 2022MonthlyAug 2026
Fund-house assets & market shareApr–Jun 2022Quarterly averageApr–Jun 2026
Equity holdingsJun 2022Monthly disclosuresAug 2026

Known limitations: no official net flow exists by fund house; fund-house figures are quarterly averages; SIP history starts in 2024; category flows cannot be attributed to stocks. Methodology →