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St · Wild shelf

Sectoral / thematic funds

One sector, one story. The most-launched shelf on the map, by far.

Deep falls happen and can last years. Long money only. Industry-wide this shelf holds ₹5.47 lakh crore across 250 schemes (AMFI, category: Sectoral/Thematic Funds).

Sectoral / thematic by the numbers

NYVO publishes data pages for 239 schemes in Sectoral / thematic, from 37 fund houses, holding ₹5.54 lakh crore between them. Over the last five years the median returned 14.7% a year, and the gap between the best and worst was 20.2 percentage points a year across 105 funds with a five-year record (NAV as of 21 Aug 2026).

Distribution of returns across Sectoral / thematic funds with a data page on NYVO, NAV as of 21 Aug 2026
WindowWorstMedianBestSpreadFunds
1 year-15.3%7.2%44.9%60.2 pts216
3 years (per year)-1.5%17.0%41.6%43.1 pts132
5 years (per year)5.4%14.7%25.6%20.2 pts105
Median fund size
₹1,288 crore
Largest fund
₹38,299 crore
Longest track record
since 2013

Worst, median and best describe the spread across the funds on this shelf that have a data page on NYVO — they are not an index, not a benchmark, and no fund is named. The spread is simply the distance between the highest and lowest figure in that window; on shelves that hold more than one kind of asset it reflects that mix as much as anything else. Sample sizes differ by window because newer funds have no five-year record. Past returns do not predict future returns.

239 funds with data pages

1 more fund exists in this category without enough published history for a data page yet; they appear here automatically once they have one.

Funds are listed by assets under management — a fact, not a ranking. Shelf-level industry figures are AMFI monthly data; per-fund figures come from NYVO research systems and update daily. This page is general information, not investment advice, and carries no rating and no recommendation. Mutual fund investments are subject to market risks; read all scheme related documents carefully.