Fund Tracker

Fund houses in Apollo Hospitals Enterprise Limited

17 fund houses holding · net +2.07 lakh shares (+0.14 pp of equity) · Aug 2026 vs Jul 2026

20 fund houses holding · net +3.50 lakh shares (+0.24 pp of equity) · Aug 2026 vs Jul 2026

% of equity, Aug 2026 Activity Source
Motilal Oswal Mutual Fund 6 11.80 lakh0.82% 9.02 lakh0.63% ▼ −2.78 lakh▼ −0.19 pp 0.63% Reduced Workbook ↗
Aditya Birla Sun Life Mutual Fund 16 16.10 lakh1.12% 13.46 lakh0.94% ▼ −2.64 lakh▼ −0.18 pp 0.94% Reduced Workbook ↗
Mirae Asset Mutual Fund 11 14.93 lakh1.04% 17.29 lakh1.20% ▲ +2.36 lakh▲ +0.16 pp 1.20% Added Workbook ↗
Franklin Templeton Mutual Fund 8 11.67 lakh0.81% 13.77 lakh0.96% ▲ +2.10 lakh▲ +0.15 pp 0.96% Added Workbook ↗
HDFC Mutual Fund 8 12.76 lakh0.89% 14.20 lakh0.99% ▲ +1.44 lakh▲ +0.10 pp 0.99% Added Workbook ↗
ICICI Prudential Mutual Fund 9 8.99 lakh0.63% 9.98 lakh0.69% ▲ +99,107▲ +0.07 pp 0.69% Added Workbook ↗
Helios Mutual Fund 3 1.25 lakh0.09% 1.95 lakh0.14% ▲ +69,930▲ +0.05 pp 0.14% Added Workbook ↗
Bandhan Mutual Fund 3 1.14 lakh0.08% 64,5200.04% ▼ −49,036▼ −0.03 pp 0.04% Reduced Workbook ↗
DSP Mutual Fund 4 5.85 lakh0.41% 6.28 lakh0.44% ▲ +43,297▲ +0.03 pp 0.44% Added Workbook ↗
SBI Mutual Fund 5 10.39 lakh0.72% 10.56 lakh0.73% ▲ +17,074▲ +0.01 pp 0.73% Added Workbook ↗
Nippon India Mutual Fund 8 8.60 lakh0.60% 8.50 lakh0.59% ▼ −10,481▼ −0.01 pp 0.59% Reduced Workbook ↗
UTI Mutual Fund 4 83,6480.06% 76,9150.05% ▼ −6,733▼ −0.00 pp 0.05% Reduced Workbook ↗
Axis Mutual Fund 17 24.64 lakh1.71% 24.60 lakh1.71% ▼ −3,870▼ −0.00 pp 1.71% Reduced Workbook ↗
Groww Mutual Fund 0 7280.00% —— ▼ −728▼ −0.00 pp — Exited Workbook ↗
PPFAS Mutual Fund 1 6,2260.00% 6,5290.00% ▲ +303▲ +0.00 pp 0.00% Added Workbook ↗
Samco Mutual Fund 5 13,7600.01% 13,7620.01% ▲ +2▲ +0.00 pp 0.01% Added Workbook ↗
Capitalmind Mutual Fund 1 14,2650.01% 14,2650.01% 00.00 pp 0.01% Unchanged Workbook ↗
NJ Mutual Fund 1 3750.00% 3750.00% 00.00 pp 0.00% Unchanged Workbook ↗
Motilal Oswal Mutual Fund 18 12.19 lakh0.85% 9.49 lakh0.66% ▼ −2.69 lakh▼ −0.19 pp 0.66% Reduced Workbook ↗
Aditya Birla Sun Life Mutual Fund 22 18.54 lakh1.29% 15.96 lakh1.11% ▼ −2.58 lakh▼ −0.18 pp 1.11% Reduced Workbook ↗
Mirae Asset Mutual Fund 22 15.65 lakh1.09% 18.09 lakh1.26% ▲ +2.44 lakh▲ +0.17 pp 1.26% Added Workbook ↗
Franklin Templeton Mutual Fund 10 11.79 lakh0.82% 13.89 lakh0.97% ▲ +2.10 lakh▲ +0.15 pp 0.97% Added Workbook ↗
HDFC Mutual Fund 23 17.65 lakh1.23% 19.63 lakh1.37% ▲ +1.98 lakh▲ +0.14 pp 1.37% Added Workbook ↗
ICICI Prudential Mutual Fund 22 19.41 lakh1.35% 20.42 lakh1.42% ▲ +1.00 lakh▲ +0.07 pp 1.42% Added Workbook ↗
Helios Mutual Fund 3 1.25 lakh0.09% 1.95 lakh0.14% ▲ +69,930▲ +0.05 pp 0.14% Added Workbook ↗
DSP Mutual Fund 15 7.13 lakh0.50% 7.57 lakh0.53% ▲ +44,156▲ +0.03 pp 0.53% Added Workbook ↗
Bandhan Mutual Fund 11 2.23 lakh0.16% 1.81 lakh0.13% ▼ −41,821▼ −0.03 pp 0.13% Reduced Workbook ↗
SBI Mutual Fund 15 33.93 lakh2.36% 34.28 lakh2.38% ▲ +35,216▲ +0.02 pp 2.38% Added Workbook ↗
UTI Mutual Fund 11 10.93 lakh0.76% 11.00 lakh0.77% ▲ +7,339▲ +0.01 pp 0.77% Added Workbook ↗
Groww Mutual Fund 7 32,9410.02% 39,8610.03% ▲ +6,920▲ +0.00 pp 0.03% Added Workbook ↗
Axis Mutual Fund 25 25.82 lakh1.80% 25.86 lakh1.80% ▲ +3,365▲ +0.00 pp 1.80% Added Workbook ↗
Old Bridge Mutual Fund 1 1,7500.00% 3,2500.00% ▲ +1,500▲ +0.00 pp 0.00% Added Workbook ↗
Nippon India Mutual Fund 19 16.20 lakh1.13% 16.18 lakh1.13% ▼ −1,374▼ −0.00 pp 1.13% Reduced Workbook ↗
PPFAS Mutual Fund 1 6,2260.00% 6,5290.00% ▲ +303▲ +0.00 pp 0.00% Added Workbook ↗
Angel One Mutual Fund 4 1,0330.00% 1,0260.00% ▼ −7▼ −0.00 pp 0.00% Reduced Workbook ↗
Samco Mutual Fund 5 13,7600.01% 13,7620.01% ▲ +2▲ +0.00 pp 0.01% Added Workbook ↗
Capitalmind Mutual Fund 2 14,3900.01% 14,3900.01% 00.00 pp 0.01% Unchanged Workbook ↗
NJ Mutual Fund 1 3750.00% 3750.00% 00.00 pp 0.00% Unchanged Workbook ↗

Shares as disclosed; % of equity uses 14.38 cr shares outstanding (NSE, 25 Sep 2026) for both months. "Not compared" = the AMC has no portfolio for Jul 2026 here. Source: each AMC's SEBI monthly portfolio disclosure, Aug 2026.