Mutual Fund Screener

Filter and compare 2,545 Direct-Growth schemes by category, fund house, returns, and risk level. Sort by any metric to find top performers.

Loading…
Scheme NAV 1W 1M 3M 6M 1Y 3Y 5Y Risk
Loading schemes…
Frequently Asked Questions
How does the Mutual Fund Screener work?
Our MF Screener lets you filter Direct-Growth mutual fund schemes by category, fund house, and search terms. Results show returns across 7 periods (1 week to 5 years) along with NAV and risk rating. Click any column header to sort. Use "Load More" to paginate through all matching results.
What returns are shown in the screener?
Returns are calculated from historical NAV data sourced from AMFI via MFAPI.in. They represent absolute percentage change over each period: 1 Week, 1 Month, 3 Months, 6 Months, 1 Year, 3 Years, and 5 Years. Only Direct Growth plans are shown as they have lower expense ratios and better net returns.
What does the risk rating mean?
Risk rating (1.0 to 5.0) is computed from the fund's annualised NAV volatility. Very Low (≤1.5): typically liquid/overnight funds. Low (≤2.5): short-term debt funds. Moderate (≤3.5): large cap, hybrid, index funds. High (≤4.5): mid cap, flexi cap. Very High (>4.5): small cap, sectoral, thematic funds.
Why do some schemes not have return data?
Return data is computed from historical NAV obtained via the MFAPI. Schemes that are very new, have been recently merged, or have limited trading history may not yet have sufficient data for returns calculation. Uncheck "Only with return data" to see all schemes.
How often is the screener data updated?
NAV data is updated daily from AMFI (Association of Mutual Funds in India). Returns and risk ratings are periodically recomputed from the latest NAV history. The data on this platform is for informational purposes only — always verify with official AMC or AMFI sources before making investment decisions.
How to Use the MF Screener

The Mutual Fund Screener helps you filter and compare Direct-Growth mutual fund schemes side by side. Use the category and fund house dropdowns to narrow results, then sort by returns across different time periods — from 1 week to 5 years.

Understanding Returns: Returns are computed from historical NAV data sourced from MFAPI.in (AMFI). A 1Y return of +15% means the scheme's NAV has grown 15% over the past year. All returns shown are for Direct Growth plans, which have lower expense ratios and no distributor commission.

Risk Rating: Risk is calculated from historical NAV volatility (annualised standard deviation). A rating of 1 indicates Very Low volatility, while 5 indicates Very High. Equity funds typically rate 3–5, while debt/liquid funds rate 1–2.

Past performance does not guarantee future results. This screener is for informational purposes only. Please consult a SEBI-registered financial advisor before making investment decisions.