Edison, NJ -- (SBWire) -- 02/01/2021 --HTF MI presents an in-depth overview of the Mutual Funds Market Study, detailing the latest product / industry coverage and market forecasts and status by 2025. Market research is categorized as a key area to accelerate marketization. The current market is evolving its presence and some of the major players in the study are HDFC Asset Management Company Limited, Reliance Nippon Life Asset Management Limited, Aditya Birla Sun Life AMC Limited, Axis Asset Management Company Limited, DSP Investment Managers Private Limited, Franklin Templeton Asset Management (India) Private Limited, ICICI Prudential Asset Management Company Limited, Kotak Mahindra Asset Management Company Limited, SBI Funds Management Private Limited, UTI Asset Management Company Limited.
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In terms of assets under management (AUM), the mutual fund industry in India has been experiencing steady growth over the past few years. During the FY 2016-FY 2019 period, the mutual fund industry AUM increased at a rate of ~22.94% and is expected to reach INR ~918.54 Tn by FY 2024. This growth can be attributed to the growing importance of the 'savings culture' among people and inclination towards systematic investment plan (SIP) schemes. Both individuals and institutional investors are expected to contribute equally to the growth of the market during the forecast period.
Regional Markets: North America, Europe, Asia-Pacific etc
List of Companies Mentioned: HDFC Asset Management Company Limited, Reliance Nippon Life Asset Management Limited, Aditya Birla Sun Life AMC Limited, Axis Asset Management Company Limited, DSP Investment Managers Private Limited, Franklin Templeton Asset Management (India) Private Limited, ICICI Prudential Asset Management Company Limited, Kotak Mahindra Asset Management Company Limited, SBI Funds Management Private Limited, UTI Asset Management Company Limited
1. Does Study provides Latest Impact on Market due to COVID & Slowdown?
Yes study have considered a chapter on Impact Analysis and this 2020 Edition of the report provides detailed analysis and its impact on growth trends and market sizing to better understand current scenario.
2) How companies are selected or profiled in the report?
List of some players that are profiled in the the report includes "HDFC Asset Management Company Limited, Reliance Nippon Life Asset Management Limited, Aditya Birla Sun Life AMC Limited, Axis Asset Management Company Limited, DSP Investment Managers Private Limited, Franklin Templeton Asset Management (India) Private Limited, ICICI Prudential Asset Management Company Limited, Kotak Mahindra Asset Management Company Limited, SBI Funds Management Private Limited, UTI Asset Management Company Limited". Usually we follow NAICS Industry standards and validate company profile with product mapping to filter relevant Industry players, furthermore list is sorted to come up with a sample size of atleast 50 to 100 companies having greater topline value to get their segment revenue for market estimation.
** List of companies mentioned may vary in the final report subject to Name Change / Merger etc.
3) Is it possible to narrow down business segments by Application of this study?
Yes, depending upon the data availability and feasibility check by our Research Analyst, further breakdown in business segments by end use application in relation to type can be provided (If applicable) by Revenue Size or Volume*.
4) What is the base year of the study? What time frame is covered in the report
Furthermore, the years considered for the study are as follows:
Historical year – 2014-2019
Base year – 2019
Forecast period** – 2020 to 2025 [** unless otherwise stated]
** We will also include opportunities to utilize in micro markets that stakeholders can invest in, detailed analysis of key competitors and key services. **
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Key growth drivers of the market
- The proclivity to save money among people in the country is fueling the growth of the mutual fund industry in India. During the early-2000s, Indians used to make investments in physical assets and financial assets at the ratio of 3:2, which became 1:1 in FY 2019. This led to an inflow of INR ~3 Tn in the Indian financial sector by FY 2019.
- A rise in preference towards SIP schemes has recently been observed among investors in the country. The total contribution of SIP investments was INR ~679.1 Bn in FY 2018, which increased to INR ~926.93 Bn in FY 2019. A rise in SIP investments in the coming years is expected to drive growth in the Indian mutual fund industry.
Key deterrents to the growth of the market
Though, of late, the population has been expressing interest in mutual funds, lack of efficiency of asset management companies presents a challenge for the penetration of mutual funds across India. Companies often tend to limit their expenses for the development and maintenance of distribution channels only in tier 1 cities.
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TABLE OF CONTENTS
PART 01: EXECUTIVE SUMMARY
PART 02: SCOPE OF THE REPORT
PART 03: RESEARCH METHODOLOGY
PART 04: Mutual Funds MARKET LANDSCAPE
- Market Entropy
- Market segmentation analysis
- Market characteristics
PART 06: Mutual Funds MARKET SIZING
- Market definition
- Market size and forecast
- Market sizing
PART 07: Mutual Funds MARKET SEGMENTATION
- Segmentation
- Market opportunity
- Comparison
PART 08: CUSTOMER LANDSCAPE
PART 10: DECISION FRAMEWORK
PART 09: REGIONAL LANDSCAPE
PART 11: MARKET DYNAMICS: DRIVERS, TRENDS, RESTRAINTS, OPPORTUNITIES AND CHALLENGES
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Mutual Funds Market Likely to Boost Future Growth by 2026 : DSP Investment Managers, Franklin Templeton Asset Management, ICICI Prudential Asset Management Company