ANOMALY WEALTHMutual Fund Intelligence Data throughAug 2026 Trade Intelligence ↗

India mutual fund monitor

August 2026

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 2026 SIP Aug 2026 NFO Aug 2026 Fund-house assets Apr–Jun 2026 (quarterly) Holdings Aug 2026

Industry AUM 87.08 lakh Cr Change +1.32 lakh Cr, incl. market movement
Total net flow +41,354 Cr Previous month +2.36 lakh Cr
Equity net flow +29,329 Cr 66 consecutive inflow months
Debt net flow -8,127 Cr Debt-oriented schemes
Hybrid net flow +10,045 Cr Hybrid schemes
Passive net flow +10,948 Cr Index funds & ETFs · other +271 Cr
SIP contribution 32,297 Cr +14.3% on a year ago
Folios 28.35 Cr +26.54 L on the month

AMFI monthly report, Aug 2026. Total net flow covers all schemes; the asset-class figures are open-ended schemes. +90,878 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 Aug 2026 →
  • Equity +29,329 Cr
  • Debt -8,127 Cr
  • Hybrid +10,045 Cr
  • Index funds & ETFs +10,948 Cr
  • Overseas fund of funds -72.19 Cr
  • Solution oriented +335 Cr
  • Life cycle +7.87 Cr
Asset classThis monthPrevious3 months12 months
Equity +29,329 +24,697 +82,999 +347,881
Debt -8,127 +187,511 +70,330 -57,304
Hybrid +10,045 +11,491 +34,429 +125,963
Index funds & ETFs +10,948 +12,607 +40,178 +216,198
Overseas fund of funds -72.19 -90.39 -60.77 +6,799
Solution oriented +335 +379 +1,035 +3,670
Life cycle +7.87

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 2026

All categories →

Largest category inflows

CategoryNet flow% of AUM3 months12 months
LiquidDebt +19,934 +2.87% +96,707 +148,876
Money MarketDebt +11,735 +3.60% +22,320 -21,250
Small CapEquity +7,973 +1.81% +21,343 +62,331
Equity ETFPassive +7,237 New series
Mid CapEquity +6,989 +1.34% +19,272 +61,016
Flexi CapEquity +5,059 +0.84% +15,000 +89,087
Ultra Short TermDebt +4,257 +3.36% +869 -13,128
Large & Mid CapEquity +3,873 +1.06% +11,619 +46,594

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 2026 quarter. AMFI publishes fund-house assets as quarterly averages. This is the latest quarter that had ended by Aug 2026; it is not a August observation and nothing is interpolated.

Fund houseAverage AUMMarket shareΔ quarterRank
SBI Mutual Fund 12.57 lakh Cr 15.12% -0.18 pp 1
ICICI Prudential Mutual Fund 11.15 lakh Cr 13.40% -0.13 pp 2
HDFC Mutual Fund 9.35 lakh Cr 11.25% -0.13 pp 3
Nippon India Mutual Fund 7.52 lakh Cr 9.04% +0.15 pp 4
Kotak Mahindra Mutual Fund 5.90 lakh Cr 7.10% -0.02 pp 5
Aditya Birla Sun Life Mutual Fund 4.28 lakh Cr 5.14% -0.20 pp 6
UTI Mutual Fund 3.93 lakh Cr 4.72% -0.04 pp 7
Axis Mutual Fund 3.69 lakh Cr 4.44% +0.03 pp 8
DSP Mutual Fund 2.30 lakh Cr 2.76% -0.00 pp 9was 10
Tata Mutual Fund 2.29 lakh Cr 2.75% -0.04 pp 10was 9

Biggest share gainers · quarter

  1. Nippon India Mutual Fund+0.15 pp
  2. Motilal Oswal Mutual Fund+0.10 pp
  3. PPFAS Mutual Fund+0.07 pp
  4. quant Mutual Fund+0.06 pp
  5. Bandhan Mutual Fund+0.06 pp

Biggest share decliners · quarter

  1. Aditya Birla Sun Life Mutual Fund-0.20 pp
  2. SBI Mutual Fund-0.18 pp
  3. ICICI Prudential Mutual Fund-0.13 pp
  4. HDFC Mutual Fund-0.13 pp
  5. Tata Mutual Fund-0.04 pp

Rank changes among the top 30

  1. DSP Mutual Fund10 → 9
  2. Tata Mutual Fund9 → 10
  3. WhiteOak Capital Mutual Fund25 → 24
  4. Mahindra Manulife Mutual Fund24 → 25
  5. Union Mutual Fund28 → 27
  6. PGIM India Mutual Fund27 → 28

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 32,297 Cr+14.3% year on year
SIP contribution · 12 months 3.70 lakh CrNeeds 12 published months
SIP assets 18.62 lakh Cr21.4% of industry assets
Contributing SIP accounts 10.02 CrAccounts that paid in this month
Folios 28.35 Cr +26.54 L on the month · +13.9% 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 · Aug 2026

NFO history →
26new schemes allotted 7,110 Crmobilised Part of this month’s gross mobilisation — shown separately, never added to category net flow.
Published categorySchemesMobilisedSchemes launched
Balanced Hybrid Fund 1 1,818 Cr SBI Balanced Hybrid Fund
Contra Fund 1 1,711 Cr Bandhan Contra Fund
Ultra Short Term Fund 1 715 Cr Edelweiss Ultra Short Term Fund
Thematic Fund 1 592 Cr Baroda BNP Paribas Services Fund
Sectoral Fund 1 563 Cr DSP Financial Services Sectoral Debt Fund
Short Term Fund 1 368 Cr Franklin India Short Term Fund
Large & Mid Cap Fund 1 359 Cr Abakkus Large & Mid Cap Fund
Equity Funds 4 355 Cr Kotak Nifty Bank Index Fund; UTI Nifty 500 Index Fund; Axis Nifty Energy Index Fund; Edelweiss Nifty REITs & Realty Index Fund
Dividend Yield Fund 1 200 Cr WhiteOak Capital Dividend Yield Fund
Mid Cap Fund 1 156 Cr The Wealth Company Mid Cap Fund
Equity ETF 6 116 Cr JioBlackRock Nifty 50 ETF; DSP BSE MidSmall Private Banks ETF; Axis Nifty Energy ETF; UTI Nifty 500 Exchange Traded Fund; Invesco India...
Silver ETF 1 66.00 Cr quant Silver ETF
Flexi Cap Fund 1 33.00 Cr AlphaGrep Flexi Cap Fund
Arbitrage Fund 1 30.00 Cr Zerodha Arbitrage Fund
Other ETF 3 17.00 Cr Motilal Oswal Nifty Oil & Gas ETF; Mirae Asset BSE LargeMid (60:40) Stable Dividend 50 ETF; Motilal Oswal Nifty Metal ETF
Debt ETF 1 10.00 Cr DSP NIFTY 10 YR BENCHMARK G-SEC ETF

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 2026

Activity explorer →
1,262companies held 42AMCs reporting 2,561new positions 2,224complete exits

Most AMCs increasing

CompanyAMCs
  1. 01 Life Insurance Corporation Of India176 comparable portfolios 29
  2. 02 Varun Beverages Limited250 comparable portfolios 27
  3. 03 Bharti Airtel Limited511 comparable portfolios 26
  4. 04 Axis Bank Limited488 comparable portfolios 25
  5. 05 Multi Commodity Exchange of India Limited290 comparable portfolios 23
  6. 06 Tech Mahindra Limited340 comparable portfolios 22
  7. 07 State Bank of India520 comparable portfolios 22
  8. 08 Dhoot Transmission Limited62 comparable portfolios 21
  9. 09 Mazagon Dock Shipbuilders Limited99 comparable portfolios 21
  10. 10 Bosch Limited123 comparable portfolios 21

Most AMCs reducing

CompanyAMCs
  1. 01 ETERNAL LIMITED449 comparable portfolios 23
  2. 02 Kotak Mahindra Bank Limited441 comparable portfolios 21
  3. 03 Infosys Limited460 comparable portfolios 20
  4. 04 Hindalco Industries Limited317 comparable portfolios 20
  5. 05 TVS Motor Company Limited294 comparable portfolios 20
  6. 06 Laurus Labs Limited159 comparable portfolios 19
  7. 07 ICICI Bank Limited577 comparable portfolios 19
  8. 08 Cholamandalam Investment and Finance Company Limited253 comparable portfolios 18
  9. 09 Hindustan Unilever Limited308 comparable portfolios 18
  10. 10 Titan Company Limited332 comparable portfolios 18

Largest comparable holding increases

CompanyShares
  1. 01 Life Insurance Corporation Of India+695.5% · 176 portfolios +43.98 Cr
  2. 02 Vodafone Idea Limited+2.7% · 123 portfolios +11.10 Cr
  3. 03 Meesho Limited+18.3% · 123 portfolios +7.64 Cr
  4. 04 Horizon Industrial Parks Limited— · 21 portfolios +6.00 Cr
  5. 05 HDFC Bank Limited+1.7% · 542 portfolios +5.42 Cr
  6. 06 Shiprocket Limited— · 40 portfolios +5.18 Cr
  7. 07 Coal India Limited+9.2% · 251 portfolios +5.00 Cr
  8. 08 Tata Steel Limited+3.3% · 332 portfolios +4.68 Cr
  9. 09 Milky Mist Dairy Food Limited— · 32 portfolios +3.96 Cr
  10. 10 Urban Company Limited+27.7% · 65 portfolios +3.90 Cr

Largest comparable holding decreases

CompanyShares
  1. 01 ETERNAL LIMITED-3.5% · 449 portfolios -7.57 Cr
  2. 02 Yes Bank Limited-4.6% · 116 portfolios -6.05 Cr
  3. 03 GAIL (India) Limited-12.2% · 161 portfolios -5.40 Cr
  4. 04 Vedanta Power Limited-34.6% · 39 portfolios -4.92 Cr
  5. 05 Oil & Natural Gas Corporation Limited-4.2% · 265 portfolios -3.40 Cr
  6. 06 Power Finance Corporation Limited-14.6% · 195 portfolios -2.54 Cr
  7. 07 REC Limited-13.9% · 152 portfolios -2.18 Cr
  8. 08 Kotak Mahindra Bank Limited-1.1% · 441 portfolios -2.17 Cr
  9. 09 ICICI Bank Limited-1.3% · 577 portfolios -2.10 Cr
  10. 10 ICICI Prudential Life Insurance Company Limited-12.8% · 126 portfolios -1.65 Cr

Most new positions

CompanyPositions
  1. 01 Life Insurance Corporation Of India176 comparable portfolios 98
  2. 02 Dhoot Transmission Limited62 comparable portfolios 62
  3. 03 Shiprocket Limited40 comparable portfolios 40
  4. 04 One 97 Communications Limited257 comparable portfolios 39
  5. 05 Milky Mist Dairy Food Limited32 comparable portfolios 32
  6. 06 Piramal Finance Limited99 comparable portfolios 26
  7. 07 Apar Industries Limited152 comparable portfolios 26
  8. 08 Symbiotec Pharmalab Limited26 comparable portfolios 26
  9. 09 Manipal Health Enterprises Limited60 comparable portfolios 22
  10. 10 SPR Auto Technologies Limited44 comparable portfolios 22

Most complete exits

CompanyExits
  1. 01 Power Finance Corporation Limited195 comparable portfolios 23
  2. 02 Dalmia Bharat Limited87 comparable portfolios 21
  3. 03 REC Limited152 comparable portfolios 20
  4. 04 BSE Limited228 comparable portfolios 20
  5. 05 Britannia Industries Limited236 comparable portfolios 20
  6. 06 GAIL (India) Limited161 comparable portfolios 19
  7. 07 Petronet LNG Limited134 comparable portfolios 18
  8. 08 Tech Mahindra Limited340 comparable portfolios 18
  9. 09 ETERNAL LIMITED449 comparable portfolios 18
  10. 10 Hindustan Unilever Limited308 comparable portfolios 17

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, foliosAug 2026MonthlyAug 2026
SIP contribution & assetsAug 2026Monthly (from Jun 2024)Aug 2026
New fund offersAug 2026MonthlyAug 2026
Fund-house assets & market shareApr–Jun 2026Quarterly averageApr–Jun 2026
Equity holdingsAug 2026Monthly 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 →