AMFI Data — Updated 13 Jun 2026

AMFI Mutual Fund Scheme Code List — India

Search AMFI scheme codes, ISIN numbers, plan type and quarterly AAUM trend for all 16,433+ mutual fund schemes registered in India.

16,433+
Total Schemes
53
AMCs
4
Quarters of AAUM
15,001
Schemes with ISIN

Data sourced from AMFI India · Last updated 13 Jun 2026 · amfiindia.com ↗

New

10 New Schemes Added on 13 Jun 2026

Added to our database on 13 Jun 2026. 3 new funds.

DSP Savings Fund
DSP Asset Managers Private Limited  ·  Debt Scheme - Money Market Fund
Regular · 154425 · INF740KA1ZB2 Direct · 154426 · INF740KA1ZD8
ICICI Prudential Balanced Hybrid Fund
ICICI Prudential Asset Management Company Limited  ·  Hybrid Scheme - Balanced Hybrid Fund
Direct · 154417 Regular · 154418 Regular · 154419 Direct · 154420
JM Multi Asset Allocation Fund
JM Financial Asset Management Limited  ·  Hybrid Scheme - Multi Asset Allocation
Direct · 154421 · INF192K01NS0 Regular · 154422 · INF192K01NV4 Direct · 154423 · INF192K01NQ4 Regular · 154424 · INF192K01NT8

What is an AMFI Scheme Code?

Every mutual fund scheme registered in India is assigned a unique numeric code by AMFI (Association of Mutual Funds in India). This AMFI scheme code — also called the MFAPI code — is the primary identifier used across all mutual fund transactions, SIP registrations, portfolio trackers, and regulatory filings in India. The complete AMFI scheme code list covers all 16,000+ schemes across equity, debt, hybrid, ETF, and solution-oriented categories.

If you are an investor, you need this code to track your fund on platforms like CAMS or Karvy. If you are an MFD or distributor, you need it for BSE Star MF, MFU, and other transaction platforms. If you are a developer, it is the key to querying NAV data from MFAPI India.

📊 What is AAUM?

AAUM stands for Average Assets Under Management. It is the average of a fund's total AUM across all business days in a quarter. AMFI publishes this every quarter. The mini bar chart shows how a fund's AAUM has moved across the last 4 quarters — a rising bar means growing investor interest, a falling bar signals outflows or market decline.

🔍 How Do You Use This Page?

Enter a scheme code (e.g. 119526) or ISIN number (e.g. INF209K01VP1) in the search box to find the exact scheme. Use the AMC and Plan filters to browse all schemes of a specific fund house or narrow by Direct or Regular plan.

Showing 25 of 16,433 schemes
AAUM bars: Q1 Apr-Jun · Q2 Jul-Sep · Q3 Oct-Dec · Q4 Jan-Mar 2026
Code Scheme Plan Option ISIN (Growth) Launch Date AAUM Trend (4Q) Latest AAUM Analysis
152429 CSV
HDFC NIFTY200 Momentum 30 Index Fund
HDFC Asset Management Company Limited
Regular Other INF179KC1IB6 Feb 2024
₹278.0 Cr
100084 CSV
DSP Gilt Fund
DSP Asset Managers Private Limited
Regular Growth INF740K01615 Sep 1999
₹277.6 Cr
153294 CSV
Bank of India Money Market Fund
Bank of India Investment Managers Private Limited
Direct Growth INF761K01GO5 Jan 2025
₹277.5 Cr
120682 CSV
UTI - MNC Fund
UTI Asset Mgmt. Co. Ltd.
Direct Growth INF789F01UD0 Feb 2003
₹277.4 Cr
View UTI - MNC Fund →
151077 CSV
HSBC ELSS Tax saver Fund
HSBC Asset Management (India) Private Ltd.
Regular IDCW INF677K01072 Jan 2006
₹276.3 Cr
145971 CSV
WhiteOak Capital Liquid Fund
WhiteOak Capital Asset Management Limited
Direct Growth INF03VN01043 Jan 2019
₹276.0 Cr
152874 CSV
Motilal Oswal Nifty 500 Momentum 50 ETF
Motilal Oswal Asset Management Company Limited
ETF Other INF247L01DK8 Sep 2024
₹275.8 Cr
View Motilal Oswal Nifty →
146456 CSV
Invesco India Equity Savings Fund
Invesco Asset Management (India) Private Limited
Regular Growth INF205KA1023 Feb 2019
₹274.5 Cr
118510 CSV
Franklin India Large & Mid Cap Fund
Franklin Templeton Asset Management (India) Private Limited
Direct Growth INF090I01IN1 Jan 2005
₹274.5 Cr
View Franklin India Large →
149881 CSV
UTI BSE Low Volatility Index Fund
UTI Asset Mgmt. Co. Ltd.
Direct Growth INF789F1AVF2 Feb 2022
₹273.7 Cr
View UTI BSE Low Volatili →
148965 CSV
Aditya Birla Sun Life Nifty 50 Equal Weight index Fund
Aditya Birla Sun Life AMC Limited
Regular Growth INF209KB1Z48 May 2021
₹273.6 Cr
152748 CSV
ICICI Prudential Nifty Oil & Gas ETF
ICICI Prudential Asset Management Company Limited
ETF Other INF109KC18W3 Jul 2024
₹271.8 Cr
View ICICI Prudential Nif →
152954 CSV
Tata Nifty Capital Markets Index Fund
Tata Asset Management Limited
Regular Growth INF277KA1CL1 Oct 2024
₹270.8 Cr
151408 CSV
BANDHAN CRISIL IBX GILT APRIL 2032 INDEX FUND
Bandhan AMC Limited
Direct Growth INF194KB1FF5 Feb 2023
₹270.8 Cr
108995 CSV
BANDHAN EQUITY SAVINGS FUND
Bandhan AMC Limited
Regular Growth INF194K01581 May 2008
₹270.7 Cr
118695 CSV
Nippon India Liquid Fund
Nippon Life India Asset Management Limited
Direct IDCW INF204K01ZG2 Mar 1998
₹270.5 Cr
150692 CSV
TATA CRISIL-IBX GILT INDEX - APRIL 2026 INDEX FUND
Tata Asset Management Limited
Direct Growth INF277KA1554 Sep 2022
₹270.3 Cr
149870 CSV
HDFC NIFTY 100 Equal Weight Index Fund
HDFC Asset Management Company Limited
Direct Growth INF179KC1CA1 Feb 2022
₹270.2 Cr
View HDFC NIFTY 100 Equal →
118794 CSV
Nippon India Aggressive Hybrid Fund (Existing Number of Segregated Portfolios - 2)
Nippon Life India Asset Management Limited
Direct Growth INF204K01B08 May 2005
₹270.0 Cr
View Nippon India Aggress →
153974 CSV
Bandhan Healthcare Fund
Bandhan AMC Limited
Regular Growth INF194KB1KC2 Nov 2025
₹269.8 Cr
154151 CSV
Kotak Services Fund
Kotak Mahindra Asset Management Company Limited.
Regular Growth INF174KA1YY2 Feb 2026
₹269.2 Cr
153155 CSV
Bajaj Finserv Healthcare Fund
Bajaj Finserv Asset Management Limited
Regular Growth INF0QA701987 Dec 2024
₹268.2 Cr
153879 CSV
Axis CRISIL-IBX Financial Services 3-6 Months Debt Index Fund
Axis Asset Management Co. Ltd.
Direct Growth INF846KA1226 Sep 2025
₹267.7 Cr
149841 CSV
Kotak Manufacture in India Fund
Kotak Mahindra Asset Management Company Limited.
Direct Growth INF174KA1IF4 Feb 2022
₹267.6 Cr
View Kotak Manufacture in →
150777 CSV
Aditya Birla Sun Life Crisil IBX Gilt -Apr 2029 Index Fund
Aditya Birla Sun Life AMC Limited
Regular Growth INF209KB10O7 Oct 2022
₹267.6 Cr
ℹ️ Zero AAUM means the scheme had no reportable AUM in that quarter — common for Fund of Funds, very small schemes, or schemes that were not active during that period. This is not an error.

Frequently Asked Questions About AMFI Scheme Codes?

Where can I find the AMFI scheme code for my mutual fund?

You can search by fund name in the search box above. The 5 or 6 digit number in the Code column is the official AMFI scheme code. You can also find it on your account statement from CAMS or KFintech, or on the AMFI website at amfiindia.com.

What is the difference between AMFI scheme code and ISIN?

The AMFI scheme code is a numeric identifier (5-6 digits) used within India's mutual fund ecosystem for transactions and NAV queries. The ISIN (International Securities Identification Number) is a 12-character alphanumeric code used for dematerialized holding of mutual fund units in demat accounts via NSDL or CDSL. Both refer to the same scheme but are used in different contexts.

Why does each fund have multiple scheme codes?

Each combination of plan (Direct/Regular) and option (Growth/IDCW) gets its own unique scheme code. So a single fund like "HDFC Small Cap Fund" will have at least 4 codes — Direct Growth, Direct IDCW, Regular Growth, and Regular IDCW. For investment purposes, most investors use the Direct Growth variant.

What does AAUM mean and how do I read the bar chart?

AAUM is Average Assets Under Management — the average of a fund's total AUM across all business days in a quarter, published by AMFI. The 4 bars show Q1 (Apr-Jun 2025), Q2 (Jul-Sep 2025), Q3 (Oct-Dec 2025), and Q4 (Jan-Mar 2026). A green rising trend means investors are adding money to the fund. A red falling trend means net outflows or market value decline. The arrow (↑ ↓ →) summarises the overall direction.

How often is this data updated?

We try to update scheme codes and ISIN data every month from AMFI's official SchemeData file. AAUM data is updated quarterly — April, July, October, and January — when AMFI publishes the quarterly AAUM report. The last update date is shown at the top of this page.