Vl · Wild shelf
Value, dividend & focused funds
Style bets: out-of-favour companies, steady payers, concentrated conviction.
Deep falls happen and can last years. Long money only. Industry-wide this shelf holds ₹4.25 lakh crore across 65 schemes (AMFI, categories: Value Fund/Contra Fund, Dividend Yield Fund, Focused Fund).
Value, dividend & focused by the numbers
NYVO publishes data pages for 62 schemes in Value, dividend & focused, from 30 fund houses, holding ₹4.12 lakh crore between them. Over the last five years the median returned 14.6% a year, and the gap between the best and worst was 13.4 percentage points a year across 49 funds with a five-year record (NAV as of 21 Aug 2026).
| Window | Worst | Median | Best | Spread | Funds |
|---|---|---|---|---|---|
| 1 year | -5.3% | 3.9% | 24.1% | 29.4 pts | 60 |
| 3 years (per year) | 8.4% | 15.1% | 23.8% | 15.4 pts | 57 |
| 5 years (per year) | 6.7% | 14.6% | 20.1% | 13.4 pts | 49 |
- Median fund size
- ₹2,143 crore
- Largest fund
- ₹61,102 crore
- Longest track record
- since 2006
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.
62 funds with data pages
- ICICI Prudential Value Fund (erstwhile Value Discovery Fund₹61,102 crore · NAV ₹511.68 (21 Aug 2026)
- SBI FOCUSED FUND₹50,041 crore · NAV ₹455.89 (20 Aug 2026)
- SBI CONTRA FUND₹48,266 crore · NAV ₹416.87 (20 Aug 2026)
- HDFC Focused Fund₹27,925 crore · NAV ₹270.02 (21 Aug 2026)
- Invesco India Contra Fund₹20,101 crore · NAV ₹162.97 (21 Aug 2026)
- ICICI Prudential Focused Equity Fund₹17,764 crore · NAV ₹111.57 (21 Aug 2026)
- Franklin India Focused Equity Fund₹11,510 crore · NAV ₹116.69 (21 Aug 2026)
- Axis Focused Fund₹11,316 crore · NAV ₹66.46 (21 Aug 2026)
- Bandhan Value Fund₹9,985 crore · NAV ₹170.5 (21 Aug 2026)
- UTI Value Fund₹9,659 crore · NAV ₹184.92 (21 Aug 2026)
- Nippon India Value Fund₹9,098 crore · NAV ₹250.17 (21 Aug 2026)
- SBI Dividend Yield Fund₹8,657 crore · NAV ₹16.43 (21 Aug 2026)
- Nippon India Focused Fund₹8,530 crore · NAV ₹138.46 (21 Aug 2026)
- Tata Value Fund₹8,492 crore · NAV ₹407.11 (21 Aug 2026)
- Aditya Birla Sun Life Focused Fund₹8,017 crore · NAV ₹170.35 (21 Aug 2026)
- HDFC Value Fund₹7,934 crore · NAV ₹902.64 (21 Aug 2026)
- ICICI Prudential Dividend Yield Equity Fund₹6,785 crore · NAV ₹59.91 (21 Aug 2026)
- 360 ONE Focused Fund₹6,698 crore · NAV ₹56.36 (21 Aug 2026)
- Mirae Asset Focused Fund₹6,576 crore · NAV ₹28.19 (21 Aug 2026)
- Invesco India Focused Fund₹6,065 crore · NAV ₹32.72 (21 Aug 2026)
- HDFC DIVIDEND YIELD FUND₹5,696 crore · NAV ₹27.07 (21 Aug 2026)
- Kotak Contra Fund₹5,450 crore · NAV ₹185.72 (21 Aug 2026)
- Kotak Focused Fund₹4,457 crore · NAV ₹31.06 (21 Aug 2026)
- Old Bridge Focused Fund₹3,995 crore · NAV ₹14.27 (21 Aug 2026)
- UTI - Dividend Yield Fund₹3,814 crore · NAV ₹193.12 (21 Aug 2026)
- Canara Robeco Focused Fund₹2,872 crore · NAV ₹21.78 (21 Aug 2026)
- DSP Focused Fund₹2,642 crore · NAV ₹63.47 (21 Aug 2026)
- UTI Focused Fund₹2,475 crore · NAV ₹16.98 (21 Aug 2026)
- Franklin India Dividend Yield Fund₹2,300 crore · NAV ₹150.64 (20 Aug 2026)
- Mahindra Manulife Focused Fund₹2,161 crore · NAV ₹29.73 (21 Aug 2026)
- DSP Value Fund₹2,143 crore · NAV ₹25.02 (20 Aug 2026)
- Bandhan Focused Fund₹2,067 crore · NAV ₹106.24 (21 Aug 2026)
- Templeton India Value Fund₹2,007 crore · NAV ₹784.83 (21 Aug 2026)
- Quant Value Fund₹1,945 crore · NAV ₹24.22 (21 Aug 2026)
- Tata Focused Fund₹1,792 crore · NAV ₹25.79 (21 Aug 2026)
- HSBC Focused Fund₹1,773 crore · NAV ₹30.23 (21 Aug 2026)
- Axis Value Fund₹1,767 crore · NAV ₹21.88 (21 Aug 2026)
- Aditya Birla Sun Life Dividend Yield Fund₹1,458 crore · NAV ₹514.02 (20 Aug 2026)
- Sundaram Value Fund₹1,303 crore · NAV ₹226.71 (21 Aug 2026)
- Canara Robeco Value Fund₹1,279 crore · NAV ₹19.74 (21 Aug 2026)
- Quantum Value Fund₹1,140 crore · NAV ₹126.25 (21 Aug 2026)
- Tata Dividend Yield Fund₹1,122 crore · NAV ₹22.07 (21 Aug 2026)
- Sundaram Focused Fund (Formerly Known as Principal Focused Multicap Fund₹1,068 crore · NAV ₹189.1 (21 Aug 2026)
- Edelweiss Focused Fund₹1,044 crore · NAV ₹18.21 (21 Aug 2026)
- Baroda BNP Paribas Value Fund₹1,014 crore · NAV ₹14.4 (21 Aug 2026)
- Mahindra Manulife Value Fund₹947 crore · NAV ₹13.11 (21 Aug 2026)
- Quant Focused Fund₹850 crore · NAV ₹105.16 (21 Aug 2026)
- Sundaram Dividend Yield Fund (Formerly Known as Principal Dividend Yield Fund₹830 crore · NAV ₹145.75 (21 Aug 2026)
- JM Value Fund₹823 crore · NAV ₹111.83 (21 Aug 2026)
- LIC MF Dividend Yield Fund₹731 crore · NAV ₹36.43 (21 Aug 2026)
- Baroda BNP Paribas Focused Fund₹650 crore · NAV ₹24.84 (21 Aug 2026)
- ITI Focused Fund₹612 crore · NAV ₹17.68 (21 Aug 2026)
- Baroda BNP Paribas Dividend Yield Fund₹603 crore · NAV ₹10.16 (21 Aug 2026)
- Union Focused Fund₹448 crore · NAV ₹30.04 (21 Aug 2026)
- Union Value Fund₹395 crore · NAV ₹31.47 (21 Aug 2026)
- ITI Value Fund₹359 crore · NAV ₹19.19 (21 Aug 2026)
- JM Focused Fund₹286 crore · NAV ₹24.85 (21 Aug 2026)
- LIC MF Value Fund₹261 crore · NAV ₹31.55 (21 Aug 2026)
- Kotak Dividend Yield Fund₹241 crore · NAV ₹9.88 (21 Aug 2026)
- LIC MF Focused Fund₹173 crore · NAV ₹24.73 (21 Aug 2026)
- Groww Value Fund₹74 crore · NAV ₹33.52 (21 Aug 2026)
- NJ Value FundNJ Mutual Fund · NAV ₹9.85 (21 Aug 2026)
1 more fund exists in these categories without enough published history for a data page yet; they appear here automatically once they have one.
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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.