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Wednesday, 15 Jul 2026 · IST
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Investment information for India

Pick mutual funds with the data professionals use.

Every active mutual fund in India with peer ranks, rolling returns, SIP simulations, risk metrics, and historical NAV charts. Updated daily from AMFI. Independent. No paid placements.

19,110
Active schemes
77
Fund houses
81
SEBI categories
10 yr
Daily NAV history

Mutual fund insights

Explore all funds →

Curated lists pulled directly from our nightly metrics compute — no editorial picks, no paid placements. Refreshed every morning after AMFI publishes.

Top 1-year performers

all equity
  1. Mirae Asset Global X Artificial Intelligence & Technolog... Fund of Funds - Overseas · Mirae Asset
    +58.8%
  2. ICICI Prudential Strategic Metal and Energy Equity Fund... Fund of Funds - Overseas · ICICI Prudential
    +58.1%
  3. +53.7%
  4. Mirae Asset Gold Silver Passive FoF - Direct Plan - Grow... Fund of Funds - Domestic · Mirae Asset
    +53.2%
  5. +53.2%
All top performers →

Biggest 5-year wealth creators

₹10k/month SIP
  1. Mirae Asset NYSE FANG + ETF Fund of Fund Direct Growth ₹600,000 → ₹1,688,564 (2.81×)
    +42.8%
  2. DSP World Gold Mining Overseas Equity Omni FoF - Direct... ₹600,000 → ₹1,500,695 (2.50×)
    +37.7%
  3. +36.6%
  4. +29.8%
  5. Quantum Gold Savings Fund - Direct Plan Growth Option ₹600,000 → ₹1,226,051 (2.04×)
    +29.0%
All wealth creators →

Most consistent

5Y rolling, % positive
  1. Tata Digital India Fund-Direct Plan-Growth Sectoral/Thematic Fund · avg 25.1%
    100%
  2. 100%
  3. 100%
  4. 100%
  5. SBI Small Cap Fund - Direct Plan - Growth Small Cap Fund · avg 21.7%
    100%
All consistent funds →
Hall of Fame

Long-horizon compounders

Best 10-year CAGRs among funds with at least 15 years of history. The funds that survived the cycles AND delivered.

  1. 1
    DSP BlackRock India T.I.G.E.R. Fund - Regular Plan - G... Sectoral/Thematic Fund · ₹1 L → ₹11.2 L over 15y
    +17.5%
    10Y CAGR
  2. 2
    DSP BlackRock Natural Resources And New Energy Fund - R... Sectoral/Thematic Fund · ₹1 L → ₹10.9 L over 15y
    +17.2%
    10Y CAGR
  3. 3
    Axis Midcap Fund - Regular Plan - Growth Mid Cap Fund · ₹1 L → ₹10.2 L over 15y
    +16.8%
    10Y CAGR
  4. 4
    DSP BlackRock Micro Cap Fund - Regular - Growth Small Cap Fund · ₹1 L → ₹9.9 L over 15y
    +16.5%
    10Y CAGR
  5. 5
    Mirae Asset Large & Midcap Fund - Regular Plan - Growth Large & Mid Cap Fund · ₹1 L → ₹9.8 L over 15y
    +16.4%
    10Y CAGR
Full Hall of Fame →
Crorepati Race

₹20k SIP → ₹1 Crore

Funds where a ₹20,000/month SIP for the last 10 years grew to ₹1 crore+. ₹24 lakh invested → ₹1 Cr+.

  1. 1
    quant Small Cap Fund - Growth Option - Direct Plan Small Cap Fund · 3.96× multiplier
    ₹95.0 L
    +25.9% XIRR
  2. 2
    quant Infrastructure Fund - Growth Option-Direct Plan Sectoral/Thematic Fund · 3.51× multiplier
    ₹84.2 L
    +23.7% XIRR
  3. 3
    quant Multi Asset Allocation Fund-GROWTH OPTION-Direct... Multi Asset Allocation Fund · 3.32× multiplier
    ₹79.7 L
    +22.7% XIRR
  4. 4
    ₹78.5 L
    +22.4% XIRR
  5. 5
    ₹78.5 L
    +22.4% XIRR
The full ₹1 Cr race →

What equity investing actually looks like

All drawdowns →

Two charts that most fund-house brochures hide. The first shows the cost of staying invested — every dip from a previous high. The second shows the reward — risk vs return across the equity universe.

The drawdown wave

worst: -51.7%

Equity drawdown from running peak — every spike below zero is a moment investors panicked. Indian equity (DSP Top 100 proxy).

Real daily NAVs, ~19 years. Down-sampled weekly for performance. Bumps don't lie — 2008 (-56%) and 2020 (-37%) bookend the chart.

Risk vs return — every active equity fund

325 funds · 5Y window · Direct plans

X-axis: 5-year monthly volatility. Y-axis: 5-year CAGR. Top-left = high return for low risk. Hover any dot for the fund.

Large Cap Fund Large & Mid Cap Fund Multi Cap Fund Flexi Cap Fund Mid Cap Fund Small Cap Fund ELSS Sectoral/Thematic Fund Value Fund Focused Fund Dividend Yield Fund Contra Fund

Category performance

All categories →

Average category return on a 1Y / 3Y / 5Y window. Darker green = higher return.

Category Funds 1Y avg 5Y avg
Index Fund 344
Sectoral/Thematic Fund 256 +5.9%
Fund of Funds - Domestic 140
Medium to Long Duration Fund 69 +3.2% +7.4%
Fund of Funds - Overseas 52
ELSS 50 +7.0% +14.1%
Flexi Cap Fund 45 +18.0% +13.9%
Liquid Fund 44 +5.5% +5.5%
Overnight Fund 41 +5.0% +5.6%
Arbitrage Fund 38
Large Cap Fund 36 -0.4% +11.3%
Balanced Advantage Fund 36
Small Cap Fund 36
Multi Asset Allocation Fund 35
Multi Cap Fund 34 +4.6% +15.9%

Showing top 15 of 39 SEBI categories sorted by fund count. View all →

Calculators

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