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Mutual fund categories

Medians across every open-ended scheme in each category (Regular plans, growth option), calculated from AMFI NAVs as of 2 Oct 2026. Open a category to see each scheme.

CategoryGroupSchemes1Y median3Y median5Y median3Y rolling medianStd dev medianMax DD 5Y median
ContraEquity5-3.9%11.5%11.8%14.3%16.0%−19.0%
Dividend YieldEquity12-3.2%10.0%11.0%16.3%14.8%−20.4%
ELSSEquity39-3.4%9.1%9.2%14.5%15.4%−18.9%
Flexi CapEquity46-0.9%9.7%8.7%15.0%15.6%−20.5%
FocusedEquity28-1.1%9.4%9.5%14.6%15.4%−20.4%
Large & Mid CapEquity37-0.2%10.6%10.2%15.4%16.1%−20.0%
Large CapEquity38-5.7%7.5%7.4%13.4%14.3%−18.7%
Mid CapEquity353.5%14.1%13.0%19.3%18.2%−21.7%
Multi CapEquity353.2%12.1%11.2%16.6%16.4%−21.6%
Sectoral/ThematicEquity2590.0%11.7%10.6%15.6%16.7%−22.8%
Small CapEquity3711.3%13.5%14.2%18.7%19.9%−24.4%
ValueEquity25-2.8%10.0%11.2%17.5%15.4%−18.8%
Aggressive HybridHybrid31-2.3%8.7%7.9%12.7%11.7%−15.1%
ArbitrageHybrid416.0%6.6%6.0%6.3%0.6%−0.5%
Balanced AdvantageHybrid39-0.9%7.5%7.1%11.0%9.2%−10.3%
Balanced HybridHybrid81.3%8.8%n/an/a7.9%n/a
Conservative HybridHybrid191.5%6.7%6.6%8.6%4.2%−4.4%
Equity SavingsHybrid252.3%7.0%6.6%8.9%5.1%−6.1%
Multi Asset AllocationHybrid375.6%12.8%11.7%13.0%9.9%−10.7%
Banking & PSUDebt204.4%6.7%5.8%7.3%1.5%−1.1%
Corporate BondDebt224.4%6.8%5.8%7.0%1.6%−1.0%
Credit RiskDebt146.8%8.1%7.1%7.3%1.3%−1.1%
Debt Index FundDebt1065.3%7.1%5.8%7.3%1.3%−3.2%
Debt SectoralDebt1n/an/an/an/an/an/a
Dynamic BondDebt243.1%6.2%5.5%7.0%2.6%−2.5%
FloaterDebt125.7%7.2%6.3%7.4%1.2%−0.6%
GiltDebt301.8%5.5%4.8%7.5%3.8%−3.8%
Gilt 10Y ConstantDebt52.2%6.3%5.3%8.0%3.1%−4.8%
LiquidDebt736.3%6.8%6.2%6.6%0.4%0.0%
Long DurationDebt110.8%5.6%4.9%6.2%4.8%−5.4%
Medium DurationDebt135.2%7.1%6.1%7.3%1.7%−1.8%
Medium to Long DurationDebt143.0%5.9%4.9%7.4%2.6%−2.3%
Money MarketDebt336.3%7.0%6.3%6.8%0.6%−0.2%
OvernightDebt585.2%6.0%5.6%5.6%0.3%0.0%
Short DurationDebt304.6%6.7%5.8%7.3%1.4%−1.0%
Ultra Short DurationDebt336.0%6.7%6.0%6.2%0.5%−0.2%
Ultra Short to Short TermDebt315.6%6.8%6.1%7.2%0.7%−0.4%
Children'sSolution Oriented13-2.1%7.1%6.7%11.5%14.9%−18.6%
Life CycleSolution Oriented6n/an/an/an/an/an/a
RetirementSolution Oriented29-0.1%7.2%7.0%11.3%10.9%−12.7%
Domestic FoFOther1595.1%12.3%9.9%12.8%14.2%−15.1%
Index FundOther276-3.6%9.0%6.8%16.2%17.6%−17.9%
International FoFOther5522.9%25.7%12.1%12.9%17.0%−28.0%
Closed-ended DebtClosed-ended55.1%6.1%5.7%7.7%0.4%−0.2%
Closed-ended ELSSClosed-ended345.2%10.8%13.5%20.5%18.8%−23.4%
Fixed Maturity PlanClosed-ended405.6%7.3%6.2%7.3%0.9%−3.0%
Interval FundClosed-ended15.8%6.5%6.2%7.3%0.4%0.0%

See how each category did over 1 month to 3 years in the Market Pulse. Browse by fund house instead: all mutual fund houses (AMCs).

Categories follow the section headings in AMFI's daily NAV file. A median describes a typical scheme in the category; individual schemes can differ widely.

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Data & disclosure. Source: AMFI daily NAV file (portal.amfiindia.com) and historical NAVs via mfapi.in; calculations by MFIC. Data as of 2 Oct 2026. Mutual fund investments are subject to market risks; read all scheme-related documents carefully. Past performance may or may not be sustained in future. This page is for research and education only and is not investment advice or a recommendation. Integrato Financial Services Pvt. Ltd. is an AMFI-registered Mutual Fund Distributor (ARN-173155).