Equity · Category
Best Value / Contra Mutual Funds 2026
Value / Contra is a SEBI-defined mutual fund category. Every fund below follows the same category mandate, which makes their returns directly comparable — the differences you see come from the fund manager's choices and the fund's costs, not from a difference in what they are allowed to hold.
All 27 Value / Contra funds, ranked
Ordered by three-year annualised return, computed from official AMFI NAV history to a common date.
NAV as of 31 Aug 2026
Category average over 3Y: 14.6% a year across 24 funds with a full record.
- 122.8%22.3%—+7.80.52%
Quant Value Fund
quant · 0.52% expense
- 215.6%20.0%—+5.40.65%
Axis Value Fund
Axis · 0.65% expense
- 325.8%18.3%—+3.70.84%
LIC MF Value Fund
LIC · 0.84% expense
- 412.3%17.9%15.0%+3.31.12%
HDFC Value Fund
HDFC · 1.12% expense
- 58.7%17.9%—+3.30.63%
HSBC Value Fund
HSBC · 0.63% expense
- 612.8%17.5%13.5%+2.90.81%
DSP Value Fund
DSP · 0.81% expense
- 77.0%17.4%15.4%+2.80.62%
Kotak Contra Fund
Kotak Mahindra · 0.62% expense
- 85.7%16.8%14.4%+2.20.49%
Invesco India Contra Fund
Invesco · 0.49% expense
- 919.0%16.3%15.5%+1.70.87%
Aditya Birla Sun Life Value Fund
Aditya Birla Sun Life · 0.87% expense
- 104.1%15.8%14.8%+1.31.27%
NIPPON INDIA VALUE FUND
Nippon India · 1.27% expense
- 1110.9%15.0%13.8%+0.50.70%
ITI Value Fund
ITI · 0.70% expense
- 128.1%14.9%14.6%+0.31.12%
Tata Value Fund
Tata · 1.12% expense
- 135.9%14.9%12.3%+0.31.00%
Groww Value Fund
Groww · 1.00% expense
- 147.0%13.8%13.7%-0.71.11%
Union Value Fund
Union · 1.11% expense
- 15-0.3%13.8%15.4%-0.81.08%
ICICI Prudential Value Fund
ICICI Prudential · 1.08% expense
- 161.7%13.7%11.8%-0.81.21%
UTI Value Fund
UTI · 1.21% expense
- 174.9%13.6%15.9%-1.01.00%
JM Value Fund
JM Financial · 1.00% expense
- 184.2%12.9%—-1.70.62%
Canara Robeco Value Fund
Canara Robeco · 0.62% expense
- 192.3%12.6%16.5%-1.90.84%
SBI CONTRA FUND
SBI · 0.84% expense
- 20-2.4%11.6%10.4%-3.01.09%
Quantum Value Fund
Quantum · 1.09% expense
- 214.2%11.5%14.1%-3.10.59%
Bandhan Value Fund
Bandhan · 0.59% expense
- 220.1%11.3%14.4%-3.21.08%
Templeton India Value Fund
Franklin Templeton · 1.08% expense
- 235.0%11.1%—-3.40.99%
Baroda BNP Paribas Value Fund
Baroda BNP Paribas · 0.99% expense
- 24-2.6%7.9%8.6%-6.71.40%
Sundaram Value Fund
Sundaram · 1.40% expense
Not enough history to rank
These 3 funds do not yet have a full 3Y NAV record, so ranking them against the funds above would compare different periods.
How to read the table below
Returns are annualised and computed from our own AMFI NAV history rather than taken from a fund factsheet, so every fund on this page is measured to the same date on the same basis. The category average is calculated across the same set.
Expense ratio is the annual cost, already deducted from the NAV you see. Direct plans cost less than regular plans because they carry no distributor commission.
Past returns describe what happened; they are not a forecast.
Frequently asked questions
How are Value / Contra funds ranked on this page?+
By three-year annualised return, computed from official AMFI NAV history to a common date, so every fund is measured on the same basis. Funds without a full three-year record are listed separately rather than ranked against funds that have one.
Are these returns after fees?+
Yes. Returns are calculated from NAV, and the expense ratio is already deducted from NAV daily. The expense-ratio column tells you what that ongoing cost is.
How this page is produced
Every figure above is computed from our own archive of the official AMFI NAV file, going back to 2006, to NAV dated 31 Aug 2026. Nothing here is copied from a factsheet or a third-party summary. The full method is published, including its limitations.
Written and maintained by Azad Mohammed, who built the pipeline these numbers come out of. Found an error? Tell us — corrections are made and the page rebuilds within the hour.
This page describes what each fund has done. It is not investment advice and not a recommendation to buy or sell any scheme. Arthkar is not a SEBI-registered investment adviser and does not provide or arrange investment advice. Mutual fund investments are subject to market risk; read all scheme related documents carefully.
