India mutual fund monitor
August 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 Aug 2022 SIP not published for Aug 2022 NFO Aug 2022 Fund-house assets Apr–Jun 2022 (quarterly) Holdings Aug 2022
AMFI monthly report, Aug 2022. Total net flow covers all schemes; the asset-class figures are open-ended schemes. +93,997 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
- Equity +6,120 Cr
- Debt +49,164 Cr
- Hybrid -6,602 Cr
- Index funds & ETFs +15,167 Cr
- Overseas fund of funds -97.93 Cr
- Solution oriented +92.55 Cr
| Asset class | This month | Previous | 3 months | 12 months |
|---|---|---|---|---|
| Equity | +6,120 | +8,898 | +30,516 | +178,581 |
| Debt | +49,164 | +4,930 | -38,153 | -219,200 |
| Hybrid | -6,602 | -5,146 | -14,027 | +28,149 |
| Index funds & ETFs | +15,167 | +13,958 | +41,919 | +163,435 |
| Overseas fund of funds | -97.93 | +313 | +530 | +4,027 |
| Solution oriented | +92.55 | +111 | +341 | +1,547 |
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 · Aug 2022
Largest category inflows
| Category | Net flow | % of AUM | 3 months | 12 months |
|---|---|---|---|---|
| LiquidDebt | +50,096 | +13.98% | +26,621 | +24,388 |
| Index Funds (single category)Passive | +7,788 | +8.23% | +21,869 | +71,284 |
| Other ETFs (single category)Passive | +7,416 | +1.70% | +20,410 | +89,957 |
| Ultra Short TermDebt | +6,372 | +7.02% | +42.44 | -12,441 |
| Money MarketDebt | +5,929 | +5.31% | +441 | -11,574 |
| Ultra Short to Short TermDebt | +2,964 | +2.98% | -6,214 | -57,457 |
| Short TermDebt | +2,590 | +2.72% | -5,931 | -47,170 |
| Flexi CapEquity | +2,100 | +0.91% | +5,993 | +27,790 |
Largest category outflows
| Category | Net flow | % of AUM | 3 months | 12 months |
|---|---|---|---|---|
| OvernightDebt | -16,405 | -13.29% | -17,155 | +25,103 |
| ArbitrageHybrid | -8,548 | -9.59% | -20,549 | -30,236 |
| Floating Interest RatesDebt | -2,286 | -3.49% | -14,045 | -33,590 |
| Banking and PSU DebtDebt | -1,380 | -1.67% | -8,071 | -42,544 |
| Sectoral / Thematic (combined)Equity | -1,267 | -0.82% | +627 | +22,227 |
| 10-year Constant Maturity GiltDebt | -503 | -25.29% | -259 | -16.50 |
| ELSS (Tax Saver)Equity | -131 | -0.09% | +837 | +5,851 |
| Medium TermDebt | -102 | -0.35% | -1,876 | -4,751 |
Investor money into and out of each category. It is not attributed to any stock.
3 · Fund-house market structure
Average AUM · quarterly
Fund-house data: Apr–Jun 2022 quarter. AMFI publishes fund-house assets as quarterly averages. This is the latest quarter that had ended by Aug 2022; it is not a August observation and nothing is interpolated. A later quarter (Apr–Jun 2026) is available on the AMC explorer.
| Fund house | Average AUM | Market share | Δ quarter | Rank |
|---|---|---|---|---|
| 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
- SBI Mutual Fund+0.29 pp
- ICICI Prudential Mutual Fund+0.13 pp
- Edelweiss Mutual Fund+0.12 pp
- UTI Mutual Fund+0.11 pp
- Tata Mutual Fund+0.08 pp
Biggest share decliners · quarter
- Axis Mutual Fund-0.27 pp
- HDFC Mutual Fund-0.26 pp
- Aditya Birla Sun Life Mutual Fund-0.25 pp
- Franklin Templeton Mutual Fund-0.08 pp
- Invesco Mutual Fund-0.08 pp
Rank changes among the top 30
- Kotak Mahindra Mutual Fund5 → 4
- Aditya Birla Sun Life Mutual Fund4 → 5
- quant Mutual Fund27 → 26
- 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 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 · Aug 2022
| Published category | Schemes | Mobilised | Schemes launched |
|---|---|---|---|
| Fixed Term Plan | 4 | 2,293 Cr | — |
| Flexi Cap Fund | 2 | 1,962 Cr | — |
| Dynamic Asset Allocation / Balanced Advantage Fund | 1 | 746 Cr | — |
| Banking and PSU Fund | 1 | 516 Cr | — |
| Mid Cap Fund | 1 | 507 Cr | — |
| Money Market Fund | 2 | 467 Cr | — |
| Focused Fund | 1 | 367 Cr | — |
| Large Cap Fund | 1 | 226 Cr | — |
| Gilt Fund | 1 | 212 Cr | — |
| Index Funds | 7 | 203 Cr | — |
| Short Duration Fund | 1 | 157 Cr | — |
| Overnight Fund | 2 | 129 Cr | — |
| Gilt Fund with 10 year constant duration Fund | 1 | 79.00 Cr | — |
| Other ETFs | 10 | 79.00 Cr | — |
| Long Duration Fund | 1 | 32.00 Cr | — |
| Arbitrage Fund | 1 | 10.00 Cr | — |
Ordered by amount mobilised in each category. AMFI prints NFO amounts by category, so the largest NFOs are shown as the largest categories with their scheme names.
6 · Equity ownership activity
Disclosed holdings · like-for-like portfolios · Aug 2022
Most AMCs increasing
↗- 01 Cummins India Limited49 comparable portfolios 10
- 02 Atul Limited42 comparable portfolios 9
- 03 Multi Commodity Exchange of India Limited46 comparable portfolios 9
- 04 J.B. Chemicals & Pharmaceuticals Lt47 comparable portfolios 8
- 05 Max Financial Services Limited45 comparable portfolios 8
- 06 Tata Power Company Limited61 comparable portfolios 8
- 07 Bosch Limited32 comparable portfolios 8
- 08 Avenue Supermarts Limited82 comparable portfolios 8
- 09 Crompton Greaves Consumer Electricals Limited80 comparable portfolios 8
- 10 United Spirits Limited83 comparable portfolios 8
Most AMCs reducing
↗- 01 Divi's Laboratories Limited99 comparable portfolios 12
- 02 Havells India Limited47 comparable portfolios 11
- 03 Grasim Industries Limited59 comparable portfolios 10
- 04 Tata Consultancy Services Limited151 comparable portfolios 10
- 05 HDFC Life Insurance Company Limited72 comparable portfolios 10
- 06 Housing Development Finance Corp.Lt146 comparable portfolios 10
- 07 JSW Steel Limited42 comparable portfolios 9
- 08 Adani Ports and Special Economic Zone Limited57 comparable portfolios 9
- 09 MphasiS Limited72 comparable portfolios 9
- 10 Bharat Petroleum Corporation Limited67 comparable portfolios 9
Largest comparable holding increases
↗- 01 Oil & Natural Gas Corporation Limited+8.1% · 50 portfolios +2.26 Cr
- 02 Punjab National Bank+23.2% · 26 portfolios +2.19 Cr
- 03 Sona BLW Precision Forgings Limited+31.9% · 58 portfolios +1.42 Cr
- 04 Coal India Limited+5.7% · 55 portfolios +1.41 Cr
- 05 IDFC LIMITED+23.9% · 29 portfolios +1.22 Cr
- 06 AU Small Finance Bank Limited+52.9% · 34 portfolios +97.44 L
- 07 Bharat Heavy Electricals Limited+37.2% · 16 portfolios +94.36 L
- 08 Ambuja Cements Limited+18.5% · 60 portfolios +74.41 L
- 09 Max Healthcare Institute Limited+22.6% · 24 portfolios +62.65 L
- 10 Samvardhana Motherson International Limited+4.2% · 36 portfolios +62.48 L
Largest comparable holding decreases
↗- 01 NMDC Limited-35.7% · 36 portfolios -3.95 Cr
- 02 Tata Steel Limited-18.6% · 94 portfolios -3.62 Cr
- 03 ICICI Bank Limited-2.8% · 204 portfolios -1.43 Cr
- 04 Ashok Leyland Limited-8.1% · 69 portfolios -1.29 Cr
- 05 State Bank of India-3.6% · 180 portfolios -1.07 Cr
- 06 Wipro Limited-25.9% · 74 portfolios -95.63 L
- 07 Bharti Airtel Limited-6.0% · 159 portfolios -76.11 L
- 08 The Federal Bank Limited-3.1% · 49 portfolios -69.63 L
- 09 Bank of Baroda-2.6% · 72 portfolios -61.59 L
- 10 NTPC Limited-1.3% · 104 portfolios -60.48 L
Most new positions
↗- 01 Eicher Motors Limited70 comparable portfolios 20
- 02 Sona BLW Precision Forgings Limited58 comparable portfolios 15
- 03 AU Small Finance Bank Limited34 comparable portfolios 13
- 04 State Bank of India180 comparable portfolios 11
- 05 Cholamandalam Financial Holdings Limited37 comparable portfolios 10
- 06 Life Insurance Corporation Of India48 comparable portfolios 9
- 07 Tata Power Company Limited61 comparable portfolios 9
- 08 Cummins India Limited49 comparable portfolios 8
- 09 NMDC Limited36 comparable portfolios 8
- 10 Infosys Limited192 comparable portfolios 7
Most complete exits
↗- 01 Piramal Enterprises Limited24 comparable portfolios 18
- 02 Bharti Airtel Limited159 comparable portfolios 13
- 03 NMDC Limited36 comparable portfolios 12
- 04 Dr. Reddy's Laboratories Limited83 comparable portfolios 11
- 05 Muthoot Finance Limited43 comparable portfolios 11
- 06 Tata Steel Limited94 comparable portfolios 8
- 07 GAIL (India) Limited43 comparable portfolios 8
- 08 Tata Power Company Limited61 comparable portfolios 8
- 09 Titan Company Limited103 comparable portfolios 8
- 10 Tata Motors Passenger Vehicles Limited116 comparable portfolios 7
Most widely held stocks
- 01 ICICI Bank Limited216 portfolios 15
- 02 Axis Bank Limited172 portfolios 15
- 03 Tata Consultancy Services Limited155 portfolios 15
- 04 Housing Development Finance Corp.Lt148 portfolios 15
- 05 Bajaj Finance Limited147 portfolios 15
- 06 Sun Pharmaceutical Industries Limited146 portfolios 15
- 07 ITC Limited114 portfolios 15
- 08 Divi's Laboratories Limited99 portfolios 15
- 09 Power Grid Corporation of India Limited79 portfolios 15
- 10 MINDTREE LTD.58 portfolios 15
Broader ownership
↗- 01 Sammaan Capital Limited7 AMCs now +3
- 02 Rolex Rings Limited7 AMCs now +3
- 03 State Bank of India14 AMCs now +2
- 04 Eicher Motors Limited12 AMCs now +2
- 05 Cummins India Limited13 AMCs now +2
- 06 Vinati Organics Limited10 AMCs now +2
- 07 TVS Motor Company Limited10 AMCs now +2
- 08 NMDC Limited11 AMCs now +2
- 09 Multi Commodity Exchange of India Limited13 AMCs now +2
- 10 AU Small Finance Bank Limited8 AMCs now +2
Narrower ownership
↗- 01 Piramal Enterprises Limited4 AMCs now -5
- 02 Granules India Limited7 AMCs now -3
- 03 Astral Limited9 AMCs now -2
- 04 C.E. Info Systems Limited5 AMCs now -2
- 05 Windlas Biotech Limited1 AMCs now -2
- 06 Godrej Consumer Products Limited10 AMCs now -2
- 07 Orient Electric Limited5 AMCs now -2
- 08 Exide Industries Limited6 AMCs now -2
- 09 ZF Commercial Vehicle Control Systems India Limited7 AMCs now -2
- 10 Syngene International Limited5 AMCs now -2
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
| Dataset | Period on this page | Frequency | Latest available |
|---|---|---|---|
| Flows, AUM, folios | Aug 2022 | Monthly | Aug 2026 |
| SIP contribution & assets | Not published for this period | Monthly (from Jun 2024) | Aug 2026 |
| New fund offers | Aug 2022 | Monthly | Aug 2026 |
| Fund-house assets & market share | Apr–Jun 2022 | Quarterly average | Apr–Jun 2026 |
| Equity holdings | Aug 2022 | Monthly disclosures | Aug 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 →