CONTRA Mutual Funds

4 Mutual Funds
Rank
Exp. Ratio
SBI Contra Fund
-1.61%
16.42%
19%
1/3
0.75
₹47352 Cr
Kotak Contra Fund
3.3%
18.99%
17.39%
2/3
0.58
₹5154 Cr
Invesco India Contra Fund
-2.38%
17.76%
15.65%
3/3
0.53
₹17664 Cr
Motilal Oswal Contra Fund
0%
0%
0%
-
0
₹0 Cr

AUM Growth of Contra Mutual Funds - May 2026

In the past one month, the SBI Contra Fund Direct Growth has emerged as the leader in net AUM growth, witnessing an impressive addition of ₹161.26 crore. This positions it as one of the top-performing Contra mutual funds in terms of investor interest and fund growth.

Contra Mutual Funds Net AUM Flow
As of 13 May 2026
Fund
1M Net Flow
1M Net Flow %
Action
SBI Contra Fund
SBI Contra Fund

Current AUM: 43.75K Cr

+₹161.26 Cr
0.33%
Invest
Kotak Contra Fund
Kotak Contra Fund

Current AUM: 4.68K Cr

+₹88.47 Cr
1.74%
Invest
Invesco India Contra Fund
Invesco India Contra Fund

Current AUM: 17.66K Cr

+₹61.2 Cr
0.31%
Invest

Top Stock added by Contra Mutual Funds - May 2026

Over the last month, ICICI Bank Ltd has been added to the portfolios of 2 out of 4 Contra mutual funds. This signals growing confidence in the stock’s long-term growth prospects among Contra fund managers.

ICICI Bank Ltd shares added by Contra Mutual Funds
As of 13 May 2026
Fund
1M Net Flow
Action
SBI Contra Fund
SBI Contra Fund

Increased shares by 57.29%

+₹551.56 Cr
Invest
Kotak Contra Fund
Kotak Contra Fund

Increased shares by 5.43%

+₹13.1 Cr
Invest

Top Stock sold by Contra Mutual Funds - May 2026

In contrast, Bharti Airtel Ltd (Partly Paid Rs.1.25) has been sold by 1 of 4 Contra mutual funds in the last one month. This shift underscores a cautious approach by fund managers toward the stock, reflecting changing market dynamics.

Bharti Airtel Ltd (Partly Paid Rs.1.25) shares sold by Contra Mutual Funds
As of 13 May 2026
Fund
1M Net Flow
Action
Invesco India Contra Fund
Invesco India Contra Fund

Decreased shares by 100.00%

-₹388.56 Cr
Invest

Sector allocation of Contra mutual funds - May 2026

Over the last 6 months, Contra category has seen increased allocation towards Communication sectors and allocation in Consumer Defensive, Financial Services, Energy sectors has decreased

Sectoral allocation of Contra Funds
As of 13 May 2026
Sector
AUM
Financial Services
Financial Services

Decreased by 13.14%, in last 6M

18.7K Cr
Consumer Cyclical
Consumer Cyclical

Decreased by 12.14%, in last 6M

7.62K Cr
Health
Health

Decreased by 4.51%, in last 6M

7.38K Cr
Basic Materials
Basic Materials

Decreased by 10.43%, in last 6M

6.57K Cr
Tech
Tech

Decreased by 7.93%, in last 6M

6.03K Cr
Energy
Energy

Decreased by 12.22%, in last 6M

5.85K Cr
Industrial
Industrial

Decreased by 9.72%, in last 6M

4.62K Cr
Consumer Defensive
Consumer Defensive

Decreased by 33.80%, in last 6M

2.87K Cr
Communication
Communication

Increased by 19.23%, in last 6M

2.73K Cr
Utilities
Utilities

Decreased by 10.19%, in last 6M

2.61K Cr
Real Estate
Real Estate

Decreased by 5.79%, in last 6M

1.11K Cr

Mutual Fund Calculators

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