International Journal For Multidisciplinary Research

E-ISSN: 2582-2160     Impact Factor: 9.24

A Widely Indexed Open Access Peer Reviewed Multidisciplinary Bi-monthly Scholarly International Journal

Call for Paper Volume 8, Issue 1 (January-February 2026) Submit your research before last 3 days of February to publish your research paper in the issue of January-February.

Mutual Fund Bubble in India: An Analysis of Market Resilience and Valuation Concerns in 2026

Author(s) Mr. Animesh Sarkar
Country India
Abstract This research paper investigates the structural shifts in the Indian financial landscape as of early 2026, specifically addressing the widespread concerns regarding a "Mutual Fund Bubble." With the unique investor base exceeding 120 million and monthly SIP inflows crossing Rs. 28,000 crore, the study analyzes whether this growth is driven by fundamental "financialization of savings" or speculative "irrational exuberance." By evaluating the Priceto-Earnings (P/E) dispersion between Large-cap and Small-cap indices and the resilience of Domestic Institutional Investors (DIIs) against global headwinds, the paper concludes that while specific sectors experienced a "valuation froth" that corrected in 2025, the broader
mutual fund ecosystem remains robust. The findings suggest that regulatory oversight and systematic retail participation have created a "new normal" for Indian capital markets, distinct from historical speculative bubbles.
Keywords Indian Mutual Funds, Asset Under Management (AUM), SIP Inflow, Market Bubble, Small-cap Valuations, SEBI Stress Testing, Retail Investor Behavior.
Field Business Administration
Published In Volume 8, Issue 1, January-February 2026
Published On 2026-02-05
DOI https://doi.org/10.36948/ijfmr.2026.v08i01.68144

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