AMFI-registered · ARN-169480 · since 2002
Every fund,
plainly compared.
Every major category, 50 international schemes, and the numbers to pick between them — without the jargon.
NAVs as at 20 Aug 2026 · not investment advice
SCHEMES TRACKED
1639
across 50 fund houses
SCHEMES UP TODAY
69%
1127 of 1639 rose
Scheme breadth · 69% advancing
Share of tracked schemes that rose on the latest published NAV · NAV 20 Aug 2026
24%
DEBT
95%
EQUITY
70%
HYBRID
70%
INDEX
65%
OTHER
78%
SOLUTION
Browse by category
All funds →
NEW
International
US tech, EM, energy, Europe
50 funds · 3Y avg 22.0% (44 with 3Y)→
Large Cap
SEBI: top 100 by market cap
35 funds · 3Y avg 11.0% (30 with 3Y)→
Mid Cap
SEBI: ranked 101-250 by market cap
32 funds · 3Y avg 19.1% (29 with 3Y)→
Small Cap
SEBI: ranked 251 and below
34 funds · 3Y avg 17.4% (24 with 3Y)→
ELSS Tax Saver
80C benefit, 3-yr lock-in
39 funds · 3Y avg 12.6% (38 with 3Y)→
Balanced Advantage
Auto equity-debt mix
39 funds · 3Y avg 10.3% (28 with 3Y)→
Liquid
Park idle cash
42 funds · 3Y avg 6.9% (35 with 3Y)→
Not sure where to start?
Screen every scheme by returns, risk and cost →
Highest 3-year return
A sort on published returns to 20 Aug 2026 — not a rating and not a recommendation. 1,121 of the 1,648 schemes in this view have a full three-year record; the 527 without one are left out of the sort rather than counted as zero.
Plan with calculators
All calculators →Curated screens and tools
₹450 Cr
Client assets across MF, PMS, AIF & SIF
12,000+
Clients served
24 yrs
Serving investors since 2002
50
Fund houses on GFS




