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Assets under management (AUM)

How much money a scheme manages, in ₹ crore.

What it measures

AUM is the total value of all investors' holdings in a scheme, across all its plans and options. It rises with inflows and market gains and falls with redemptions and market losses.

In MFIC

Daily AUM of each scheme as published by AMFI (Fund Performance), shown on scheme pages, in the screener and in comparisons; fund-house pages add up the AUM of their schemes. Month-end values are kept from October 2026 to build AUM history.

How to read it

Size is neither good nor bad on its own. Very small schemes can have higher costs per investor; very large small-cap or mid-cap schemes may find it harder to move in and out of positions. TER slabs also depend on AUM.

Assets under management (AUM) by category today

Spread of assets under management (aum) across Regular-plan schemes in each category, calculated by MFIC from AMFI NAVs as of 2 Oct 2026. The middle half of schemes falls between the 25th and 75th percentiles.

Category (Regular plans)Schemes25th percentileMedian75th percentile
Large Cap38₹702 cr₹2,015 cr₹9,894 cr
Large & Mid Cap36₹921 cr₹4,000 cr₹16,663 cr
Flexi Cap46₹1,266 cr₹4,704 cr₹11,121 cr
Multi Cap34₹1,794 cr₹3,856 cr₹7,028 cr
Mid Cap34₹2,016 cr₹7,604 cr₹18,623 cr
Small Cap36₹2,520 cr₹5,596 cr₹16,731 cr
ELSS38₹454 cr₹1,987 cr₹7,773 cr
Focused28₹1,013 cr₹2,407 cr₹6,750 cr
Value23₹578 cr₹1,217 cr₹8,139 cr
Aggressive Hybrid31₹735 cr₹2,798 cr₹7,812 cr
Balanced Advantage35₹845 cr₹2,109 cr₹4,317 cr
Index Fund261₹52 cr₹159 cr₹568 cr

Use it in MFIC

Screen: “AUM above 1000 cr” Open the screener Ask the AI Analyst

Related: Expense ratio (TER) · Methodology

Disclosure. Educational content. Figures are historical calculations from AMFI NAV data and may differ from other sources because of methodology. Past performance does not guarantee future results. Mutual fund investments are subject to market risks; read all scheme-related documents carefully. Integrato Financial Services Pvt. Ltd. is an AMFI-registered Mutual Fund Distributor (ARN-173155); this page is not investment advice. Questions? Book a consultation.