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    Home»Mutual Funds»A Year That Reset MF Costs
    Mutual Funds

    A Year That Reset MF Costs

    December 28, 2025


    AMFI data shows that the AUM of passive funds has reached Rs. 12.11 lakh crore in May 2025. This is an increase of 25% from AUM of Rs. 9.70 lakh crore in May 2024.

    The mutual fund industry in India saw very strong growth in 2025, with total assets under management (AUM) reaching around Rs 80 lakh crore, up sharply from 2024

    Redeeming Debt Mutual Funds Bought Before April 2023? Here’s How Your Gains Will Be Taxed

     Fees get clearer
    Mutual fund costs are now easier to understand, with a clear split between management fees and statutory charges.

    NFO Alert

    Expense ratios come down
    Lower caps on costs — especially in passive schemes — help investors retain more of their returns over time.

    HDFC Mutual Fund SWAP Top Up

    Passive funds finally cheaper
    Index funds are now priced closer to their true passive nature, reducing the cost gap with direct investing.

    15 Equity Mutual Funds That Deliver Over 20% CAGR In 3, 5 And 7 Years

    Brokerage costs capped
    Limits on brokerage charges ensure less money leaks from investor portfolios.

    Investing Rs 10,000 monthly in a diversified mutual fund portfolio can grow to Rs 1 crore in 15-23 years with 12-15% annual returns. (AI Generated)

    No hidden exit load recovery
    Removal of indirect cost recovery improves fairness when investors enter or exit schemes.

    AMFI November Data

    Rajani Tandale, Senior Vice President – Mutual Fund, 1 Finance
    “SEBI’s move to clearly separate statutory levies from core fund management costs brings much-needed transparency. Lower expense ratios, especially in passive funds, can meaningfully improve long-term returns for investors.”

    India Mutual Fund AUM Size

    Neha Chhabra, Assistant Vice President, Avisa Wealth Creators
    “The mutual fund industry is moving from pure growth to strategic maturity. Fee transparency, AI-led operations, and the rise of hybrid and active ETFs are reshaping how investors build portfolios.”

    According to the report, between August 1996 and August 2025, SIP has generated a maximum return of 55.6 percent and a minimum return of -24.6 percent.

     New products, wider exposure
    Active ETFs, multi-asset hybrid funds, and easier global investing via GIFT City are giving investors more choice with better risk balance.

    Flexi cap fund offers flexibility in investment.

    More personalised investing
    Automation allows fund houses to offer tailored portfolios at scale, rather than one-size-fits-all solutions.

    Gupta also introduced a concept she calls “SDS — Savings Deducted at Source.

    AI reshapes fund management
    AMCs are using AI for portfolio rebalancing, risk tracking, and faster decision-making — improving efficiency behind the scenes.



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