Find the best mutual fund in any category.
Every equity fund, scored the way a great analyst would — returns, risk-adjusted metrics and cost, all normalised against true category peers. Then let the AI advisor match a fund to your goal.
Top picks right now
Highest Smart Score in each popular category.
Quant Large Cap Fund Gr Dir Plan
Quant · ₹3.4k Cr
WhiteOak Capital Mid Cap Fund
WhiteOak · ₹6.2k Cr
Invesco India Small Cap
Invesco · ₹13.4k Cr
HDFC Flexi Cap
HDFC · ₹1.06L Cr
Motilal Oswal ELSS Tax Saver Fund
Motilal Oswal · ₹4.9k Cr
Browse by category
All equity fund categories, from diversified core to sectoral and thematic bets.
Diversified
Large Cap
36 funds · Moderately High risk
Blue-chip leaders. Lower volatility, steady compounding — the core of most portfolios.
Large & Mid Cap
36 funds · High risk
A mandated blend of stability and growth across large and mid caps.
Mid Cap
34 funds · Very High risk
Tomorrow's large caps. Higher growth, higher swings — reward the patient.
Small Cap
37 funds · Very High risk
Highest growth potential and the deepest drawdowns. For long horizons only.
Multi Cap
33 funds · Very High risk
Minimum 25% each in large, mid and small caps — diversification by mandate.
Flexi Cap
46 funds · High risk
Go-anywhere funds. The manager shifts across market caps as opportunities change.
Style
Focused
28 funds · Very High risk
High-conviction portfolios capped at ~30 stocks. Concentrated bets.
Value
21 funds · High risk
Buying quality below intrinsic worth. Patient, contrarian compounding.
Contra
4 funds · High risk
Against-the-herd positioning in out-of-favour sectors and stocks.
Dividend Yield
11 funds · High risk
Tilts toward high dividend-paying companies for a smoother ride.
Sectoral
Banking & Financial
31 funds · Very High risk
Concentrated on banks, NBFCs and insurers — a leveraged bet on the economy.
Technology
13 funds · Very High risk
IT services and digital businesses. High growth, high cyclicality.
Pharma & Healthcare
19 funds · Very High risk
Defensive-growth exposure to pharma, hospitals and diagnostics.
FMCG
1 funds · High risk
Consumer staples — steadier earnings, lower drawdowns than the market.
Infrastructure
21 funds · Very High risk
Capex, construction and utilities — a play on India's build-out.
Thematic
Consumption
26 funds · Very High risk
Rising-India demand across discretionary and staples.
Energy
6 funds · Very High risk
Traditional and transition energy across the value chain.
Manufacturing
13 funds · Very High risk
Make-in-India: industrials, defence and capital goods.
MNC
7 funds · High risk
Indian arms of multinationals — governance and brand strength.
ESG
10 funds · High risk
Screened for environmental, social and governance quality.
PSU
5 funds · Very High risk
State-owned enterprises — value re-rating and high dividends.
International
6 funds · High risk
Global equities for geographic diversification.
Business Cycle
19 funds · Very High risk
Rotates sectors to ride the phases of the economic cycle.
How the Smart Score works
Each fund is judged against its own category, so a mid-cap isn't unfairly compared to a large-cap. Every metric becomes a percentile, then they're weighted and blended into a 0–100 score and a clear verdict.
Returns & consistency
1Y, 3Y and 5Y CAGR — how well the fund actually compounded money.
Risk-adjusted quality
Sharpe, alpha and volatility — was the return worth the risk taken?
Cost & size
Expense ratio and AUM — cheap, stable funds keep more in your pocket.
Tune the weighting to your own goal on any category page — the scores and verdicts recompute instantly.