Index Funds
Every index funds scheme in the AMFI-sourced universe behind this site, with NAV as at 20 Aug 2026.
Average 3Y return
+10.60%
across 153 of 339 schemes
Riskometer (most common)
Very High
213 of 286 disclosing
Total schemes
339
1 SEBI sub-category
What this page covers
This page lists every Index Funds scheme in the AMFI-sourced universe behind this site — 339 schemes across the SEBI sub-category Index Funds. Figures are the schemes’ own disclosed numbers, with NAV as at 20 Aug 2026.
Index Funds schemes, sorted on disclosed returns
339 of 339 schemes shown · sorted by disclosed 1Y return, highest first · NAV as at 20 Aug 2026
Index Funds schemes
Index Funds
₹24.30
NAV · 20 Aug 2026
1Y
+37.86%
3Y
+31.07%
5Y
—
COST
—
Index Funds
Very High
₹33.75
NAV · 20 Aug 2026
1Y
+31.67%
3Y
+26.28%
5Y
+17.85%
COST
0.62%
Index Funds
Very High
₹12.85
NAV · 20 Aug 2026
1Y
+27.77%
3Y
—
5Y
—
COST
0.57%
Index Funds
Very High
₹24.91
NAV · 20 Aug 2026
1Y
+22.55%
3Y
+19.88%
5Y
+14.17%
COST
0.54%
Index Funds
Very High
₹14.86
NAV · 20 Aug 2026
1Y
+21.14%
3Y
—
5Y
—
COST
0.80%
Index Funds
Very High
₹13.84
NAV · 20 Aug 2026
1Y
+20.66%
3Y
—
5Y
—
COST
0.43%
Index Funds
₹20.46
NAV · 20 Aug 2026
1Y
+20.29%
3Y
+19.92%
5Y
—
COST
—
Index Funds
Very High
₹12.85
NAV · 20 Aug 2026
1Y
+19.78%
3Y
—
5Y
—
COST
0.70%
Index Funds
Very High
₹14.70
NAV · 20 Aug 2026
1Y
+19.50%
3Y
—
5Y
—
COST
0.70%
Index Funds
₹10.99
NAV · 20 Aug 2026
1Y
+16.28%
3Y
—
5Y
—
COST
—
Index Funds
Very High
₹12.59
NAV · 20 Aug 2026
1Y
+16.07%
3Y
—
5Y
—
COST
0.49%
Index Funds
₹23.71
NAV · 20 Aug 2026
1Y
+15.89%
3Y
+24.39%
5Y
—
COST
—
Index Funds
Very High
₹15.25
NAV · 20 Aug 2026
1Y
+15.87%
3Y
—
5Y
—
COST
0.55%
Index Funds
Very High
₹12.54
NAV · 20 Aug 2026
1Y
+15.86%
3Y
—
5Y
—
COST
0.75%
Index Funds
Very High
₹13.38
NAV · 20 Aug 2026
1Y
+15.61%
3Y
—
5Y
—
COST
0.49%
Index Funds
Very High
₹11.42
NAV · 20 Aug 2026
1Y
+14.91%
3Y
—
5Y
—
COST
0.53%
Index Funds
Very High
₹11.29
NAV · 20 Aug 2026
1Y
+14.41%
3Y
—
5Y
—
COST
0.74%
Index Funds
Very High
₹22.19
NAV · 20 Aug 2026
1Y
+14.41%
3Y
+25.06%
5Y
—
COST
0.84%
Index Funds
Very High
₹21.09
NAV · 20 Aug 2026
1Y
+14.20%
3Y
+22.72%
5Y
—
COST
0.32%
Index Funds
Very High
₹20.12
NAV · 20 Aug 2026
1Y
+14.19%
3Y
+20.12%
5Y
—
COST
0.59%
Index Funds
Very High
₹11.72
NAV · 20 Aug 2026
1Y
+14.14%
3Y
—
5Y
—
COST
0.31%
Index Funds
Very High
₹23.17
NAV · 20 Aug 2026
1Y
+13.92%
3Y
+22.81%
5Y
—
COST
0.33%
Index Funds
Very High
₹12.86
NAV · 20 Aug 2026
1Y
+13.84%
3Y
—
5Y
—
COST
0.76%
Index Funds
Very High
₹11.72
NAV · 20 Aug 2026
1Y
+13.11%
3Y
—
5Y
—
COST
0.37%
Index Funds
Very High
₹22.27
NAV · 20 Aug 2026
1Y
+11.85%
3Y
+18.92%
5Y
—
COST
0.29%
Index Funds
Very High
₹11.27
NAV · 20 Aug 2026
1Y
+11.78%
3Y
—
5Y
—
COST
0.41%
Index Funds
Very High
₹12.64
NAV · 20 Aug 2026
1Y
+11.62%
3Y
—
5Y
—
COST
0.55%
Index Funds
Very High
₹12.47
NAV · 20 Aug 2026
1Y
+10.80%
3Y
—
5Y
—
COST
0.47%
Index Funds
Very High
₹11.21
NAV · 20 Aug 2026
1Y
+10.77%
3Y
—
5Y
—
COST
0.46%
Index Funds
Very High
₹12.26
NAV · 20 Aug 2026
1Y
+10.66%
3Y
—
5Y
—
COST
0.31%
Index Funds
Very High
₹19.20
NAV · 20 Aug 2026
1Y
+10.16%
3Y
+19.71%
5Y
—
COST
0.58%
Index Funds
Very High
₹60.98
NAV · 20 Aug 2026
1Y
+9.81%
3Y
+19.59%
5Y
—
COST
0.34%
Index Funds
Very High
₹18.44
NAV · 20 Aug 2026
1Y
+9.65%
3Y
+19.56%
5Y
—
COST
0.23%
Index Funds
Very High
₹21.77
NAV · 20 Aug 2026
1Y
+9.60%
3Y
+19.61%
5Y
+14.25%
COST
0.27%
Index Funds
Very High
₹17.34
NAV · 20 Aug 2026
1Y
+9.57%
3Y
+19.58%
5Y
—
COST
0.23%
Index Funds
Very High
₹17.03
NAV · 20 Aug 2026
1Y
+9.55%
3Y
+19.42%
5Y
—
COST
0.30%
Index Funds
Very High
₹27.58
NAV · 20 Aug 2026
1Y
+9.54%
3Y
+19.59%
5Y
+14.08%
COST
0.44%
Index Funds
Very High
₹13.11
NAV · 20 Aug 2026
1Y
+9.51%
3Y
—
5Y
—
COST
0.40%
Index Funds
Very High
₹29.43
NAV · 20 Aug 2026
1Y
+9.51%
3Y
+19.52%
5Y
+14.11%
COST
0.36%
Index Funds
Very High
₹20.61
NAV · 20 Aug 2026
1Y
+9.51%
3Y
+19.56%
5Y
+14.08%
COST
0.38%
Index Funds
Very High
₹26.68
NAV · 20 Aug 2026
1Y
+9.48%
3Y
+19.57%
5Y
+14.09%
COST
0.41%
Index Funds
Very High
₹17.70
NAV · 20 Aug 2026
1Y
+9.44%
3Y
+19.47%
5Y
—
COST
0.27%
Index Funds
Very High
₹17.57
NAV · 20 Aug 2026
1Y
+9.41%
3Y
+19.31%
5Y
—
COST
0.36%
Index Funds
₹69.05
NAV · 20 Aug 2026
1Y
+9.30%
3Y
+19.36%
5Y
+13.95%
COST
—
Index Funds
Very High
₹32.58
NAV · 20 Aug 2026
1Y
+9.14%
3Y
+19.21%
5Y
—
COST
0.43%
Index Funds
Very High
₹14.78
NAV · 20 Aug 2026
1Y
+8.86%
3Y
—
5Y
—
COST
0.76%
Index Funds
Very High
₹27.10
NAV · 20 Aug 2026
1Y
+8.83%
3Y
+18.03%
5Y
+18.24%
COST
0.37%
Index Funds
Very High
₹11.83
NAV · 20 Aug 2026
1Y
+8.80%
3Y
—
5Y
—
COST
0.44%
Index Funds
₹20.93
NAV · 20 Aug 2026
1Y
+8.79%
3Y
+17.96%
5Y
—
COST
—
Index Funds
Very High
₹20.39
NAV · 20 Aug 2026
1Y
+8.78%
3Y
+18.02%
5Y
—
COST
0.46%
Index Funds
Very High
₹11.14
NAV · 20 Aug 2026
1Y
+8.68%
3Y
—
5Y
—
COST
0.24%
Index Funds
Very High
₹19.99
NAV · 20 Aug 2026
1Y
+8.67%
3Y
+17.91%
5Y
—
COST
0.35%
Index Funds
Very High
₹12.03
NAV · 20 Aug 2026
1Y
+8.62%
3Y
—
5Y
—
COST
0.42%
Index Funds
Very High
₹22.16
NAV · 20 Aug 2026
1Y
+8.62%
3Y
+17.92%
5Y
—
COST
0.33%
Index Funds
Very High
₹10.65
NAV · 20 Aug 2026
1Y
+8.61%
3Y
—
5Y
—
COST
0.66%
Index Funds
Very High
₹11.23
NAV · 20 Aug 2026
1Y
+8.54%
3Y
—
5Y
—
COST
0.66%
Index Funds
Very High
₹11.27
NAV · 20 Aug 2026
1Y
+8.35%
3Y
—
5Y
—
COST
0.54%
Index Funds
Very High
₹19.13
NAV · 20 Aug 2026
1Y
+7.81%
3Y
+17.44%
5Y
—
COST
0.26%
Index Funds
Very High
₹12.25
NAV · 20 Aug 2026
1Y
+7.71%
3Y
—
5Y
—
COST
0.59%
Index Funds
Very High
₹13.32
NAV · 20 Aug 2026
1Y
+7.67%
3Y
—
5Y
—
COST
0.28%
Index Funds
Very High
₹11.92
NAV · 20 Aug 2026
1Y
+7.63%
3Y
—
5Y
—
COST
0.36%
Index Funds
Very High
₹36.38
NAV · 20 Aug 2026
1Y
+7.63%
3Y
+16.86%
5Y
+16.51%
COST
0.41%
Index Funds
Very High
₹20.00
NAV · 20 Aug 2026
1Y
+7.56%
3Y
+17.04%
5Y
—
COST
0.33%
Index Funds
₹18.84
NAV · 20 Aug 2026
1Y
+7.56%
3Y
+17.03%
5Y
—
COST
—
Index Funds
Very High
₹20.01
NAV · 20 Aug 2026
1Y
+7.53%
3Y
+17.05%
5Y
—
COST
0.44%
Index Funds
Very High
₹198.01
NAV · 20 Aug 2026
1Y
+7.17%
3Y
+16.15%
5Y
—
COST
0.74%
Index Funds
Very High
₹11.90
NAV · 20 Aug 2026
1Y
+7.13%
3Y
—
5Y
—
COST
0.97%
Index Funds
Very High
₹11.30
NAV · 20 Aug 2026
1Y
+7.12%
3Y
—
5Y
—
COST
0.36%
Index Funds
Moderately Low
₹10.93
NAV · 20 Aug 2026
1Y
+7.08%
3Y
—
5Y
—
COST
0.09%
Index Funds
Very High
₹18.48
NAV · 20 Aug 2026
1Y
+7.06%
3Y
+17.21%
5Y
—
COST
0.53%
Index Funds
Very High
₹17.88
NAV · 20 Aug 2026
1Y
+6.94%
3Y
+16.28%
5Y
—
COST
0.57%
Index Funds
₹11.04
NAV · 20 Aug 2026
1Y
+6.91%
3Y
—
5Y
—
COST
—
Index Funds
₹11.25
NAV · 20 Aug 2026
1Y
+6.88%
3Y
—
5Y
—
COST
—
Index Funds
Moderately Low
₹11.05
NAV · 20 Aug 2026
1Y
+6.85%
3Y
—
5Y
—
COST
0.10%
Index Funds
₹11.48
NAV · 20 Aug 2026
1Y
+6.77%
3Y
—
5Y
—
COST
—
Index Funds
Moderately Low
₹11.05
NAV · 20 Aug 2026
1Y
+6.74%
3Y
—
5Y
—
COST
0.13%
Index Funds
Moderately Low
₹11.43
NAV · 20 Aug 2026
1Y
+6.61%
3Y
—
5Y
—
COST
0.15%
Index Funds
Moderately Low
₹11.19
NAV · 20 Aug 2026
1Y
+6.53%
3Y
—
5Y
—
COST
0.13%
Index Funds
Moderately Low
₹11.15
NAV · 20 Aug 2026
1Y
+6.51%
3Y
—
5Y
—
COST
0.10%
Index Funds
Moderate
₹11.52
NAV · 20 Aug 2026
1Y
+6.43%
3Y
—
5Y
—
COST
0.16%
Index Funds
₹11.38
NAV · 20 Aug 2026
1Y
+6.34%
3Y
—
5Y
—
COST
—
Index Funds
Moderately Low
₹13.22
NAV · 20 Aug 2026
1Y
+6.31%
3Y
+7.60%
5Y
—
COST
0.15%
Index Funds
₹13.15
NAV · 20 Aug 2026
1Y
+6.29%
3Y
+7.70%
5Y
—
COST
—
Index Funds
Moderately Low
₹13.23
NAV · 20 Aug 2026
1Y
+6.27%
3Y
+7.59%
5Y
—
COST
0.23%
Index Funds
₹11.02
NAV · 20 Aug 2026
1Y
+6.26%
3Y
—
5Y
—
COST
—
Index Funds
₹13.27
NAV · 20 Aug 2026
1Y
+6.25%
3Y
+7.66%
5Y
—
COST
—
Index Funds
Moderately Low
₹12.97
NAV · 20 Aug 2026
1Y
+6.25%
3Y
+7.57%
5Y
—
COST
0.19%
Index Funds
Moderately Low
₹10.73
NAV · 20 Aug 2026
1Y
+6.23%
3Y
—
5Y
—
COST
0.10%
Index Funds
Low
₹13.12
NAV · 20 Aug 2026
1Y
+6.23%
3Y
+7.45%
5Y
—
COST
0.15%
Index Funds
₹11.35
NAV · 20 Aug 2026
1Y
+6.21%
3Y
—
5Y
—
COST
—
Index Funds
Moderately Low
₹11.55
NAV · 20 Aug 2026
1Y
+6.21%
3Y
—
5Y
—
COST
0.18%
Index Funds
₹13.26
NAV · 20 Aug 2026
1Y
+6.20%
3Y
+7.63%
5Y
—
COST
—
Index Funds
Moderately Low
₹13.21
NAV · 20 Aug 2026
1Y
+6.18%
3Y
+7.51%
5Y
—
COST
0.20%
Index Funds
Moderately Low
₹11.28
NAV · 20 Aug 2026
1Y
+6.17%
3Y
—
5Y
—
COST
0.92%
Index Funds
₹13.13
NAV · 20 Aug 2026
1Y
+6.13%
3Y
+7.41%
5Y
—
COST
—
Index Funds
Moderate
₹13.31
NAV · 20 Aug 2026
1Y
+6.13%
3Y
+8.03%
5Y
—
COST
0.19%
Index Funds
Moderately Low
₹11.42
NAV · 20 Aug 2026
1Y
+6.11%
3Y
—
5Y
—
COST
0.15%
Index Funds
₹12.95
NAV · 20 Aug 2026
1Y
+6.08%
3Y
+7.63%
5Y
—
COST
—
Index Funds
₹12.28
NAV · 20 Aug 2026
1Y
+6.06%
3Y
—
5Y
—
COST
—
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Returns over 1Y are annualised · NAV and returns as at 20 Aug 2026
Index Funds funds return calculator
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Investment type
SIP amount (monthly)₹5,000
Tenure
5Y data isn’t available for ICICI Prudential NASDAQ 100 Index Fund — showing 3Y. Backtest: ICICI Prudential NASDAQ 100 Index Fund’s disclosed 3Y SIP return of 32.24% — an annualised SIP return (XIRR), compounded monthly over the instalments. Past figures, illustrative only.
Invested amt.₹1,80,000
Net profit+₹1,05,107
Total wealth₹2,85,107
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