Fund Tracker

Fund houses in Coal India Limited

18 fund houses holding · net +3.63 cr shares (+0.59 pp of equity) · Aug 2026 vs Jul 2026

20 fund houses holding · net +4.73 cr shares (+0.77 pp of equity) · Aug 2026 vs Jul 2026

% of equity, Aug 2026 Activity Source
Nippon India Mutual Fund 7 1.46 cr0.24% 3.44 cr0.56% ▲ +1.98 cr▲ +0.32 pp 0.56% Added Workbook ↗
ICICI Prudential Mutual Fund 10 1.36 cr0.22% 3.17 cr0.51% ▲ +1.81 cr▲ +0.29 pp 0.51% Added Workbook ↗
SBI Mutual Fund 6 3.86 cr0.63% 2.83 cr0.46% ▼ −1.02 cr▼ −0.17 pp 0.46% Reduced Workbook ↗
PPFAS Mutual Fund 5 18.77 cr3.05% 19.59 cr3.18% ▲ +82.22 lakh▲ +0.13 pp 3.18% Added Workbook ↗
Bandhan Mutual Fund 4 25.38 lakh0.04% 36.06 lakh0.06% ▲ +10.68 lakh▲ +0.02 pp 0.06% Added Workbook ↗
Samco Mutual Fund 1 5.11 lakh0.01% 37,9460.00% ▼ −4.73 lakh▼ −0.01 pp 0.00% Reduced Workbook ↗
Motilal Oswal Mutual Fund 2 12.62 lakh0.02% 11.57 lakh0.02% ▼ −1.05 lakh▼ −0.00 pp 0.02% Reduced Workbook ↗
HDFC Mutual Fund 5 4.59 cr0.74% 4.58 cr0.74% ▼ −1.00 lakh▼ −0.00 pp 0.74% Reduced Workbook ↗
Mirae Asset Mutual Fund 2 2.35 lakh0.00% 3.21 lakh0.01% ▲ +86,400▲ +0.00 pp 0.01% Added Workbook ↗
UTI Mutual Fund 17 1.62 cr0.26% 1.62 cr0.26% ▼ −84,292▼ −0.00 pp 0.26% Reduced Workbook ↗
Franklin Templeton Mutual Fund 2 16.63 lakh0.03% 16.76 lakh0.03% ▲ +13,817▲ +0.00 pp 0.03% Added Workbook ↗
Groww Mutual Fund 2 11,3620.00% 16,1560.00% ▲ +4,794▲ +0.00 pp 0.00% Added Workbook ↗
Aditya Birla Sun Life Mutual Fund 5 65.69 lakh0.11% 65.69 lakh0.11% 00.00 pp 0.11% Unchanged Workbook ↗
DSP Mutual Fund 3 65.08 lakh0.11% 65.08 lakh0.11% 00.00 pp 0.11% Unchanged Workbook ↗
Axis Mutual Fund 2 33.34 lakh0.05% 33.34 lakh0.05% 00.00 pp 0.05% Unchanged Workbook ↗
Helios Mutual Fund 3 23.05 lakh0.04% 23.05 lakh0.04% 00.00 pp 0.04% Unchanged Workbook ↗
NJ Mutual Fund 1 1.17 lakh0.00% 1.17 lakh0.00% 00.00 pp 0.00% Unchanged Workbook ↗
Capitalmind Mutual Fund 1 16,7240.00% 16,7240.00% 00.00 pp 0.00% Unchanged Workbook ↗
ICICI Prudential Mutual Fund 27 5.19 cr0.84% 7.42 cr1.20% ▲ +2.23 cr▲ +0.36 pp 1.20% Added Workbook ↗
Nippon India Mutual Fund 21 10.20 cr1.65% 12.33 cr2.00% ▲ +2.13 cr▲ +0.35 pp 2.00% Added Workbook ↗
SBI Mutual Fund 16 9.66 cr1.57% 8.83 cr1.43% ▼ −82.97 lakh▼ −0.13 pp 1.43% Reduced Workbook ↗
PPFAS Mutual Fund 6 18.80 cr3.05% 19.62 cr3.18% ▲ +82.22 lakh▲ +0.13 pp 3.18% Added Workbook ↗
Axis Mutual Fund 13 65.28 lakh0.11% 76.64 lakh0.12% ▲ +11.36 lakh▲ +0.02 pp 0.12% Added Workbook ↗
HDFC Mutual Fund 19 5.61 cr0.91% 5.72 cr0.93% ▲ +11.06 lakh▲ +0.02 pp 0.93% Added Workbook ↗
Bandhan Mutual Fund 12 50.79 lakh0.08% 61.07 lakh0.10% ▲ +10.28 lakh▲ +0.02 pp 0.10% Added Workbook ↗
UTI Mutual Fund 26 4.17 cr0.68% 4.23 cr0.69% ▲ +6.28 lakh▲ +0.01 pp 0.69% Added Workbook ↗
Samco Mutual Fund 1 5.11 lakh0.01% 37,9460.00% ▼ −4.73 lakh▼ −0.01 pp 0.00% Reduced Workbook ↗
Aditya Birla Sun Life Mutual Fund 13 1.23 cr0.20% 1.27 cr0.21% ▲ +3.35 lakh▲ +0.01 pp 0.21% Added Workbook ↗
Mirae Asset Mutual Fund 13 29.10 lakh0.05% 27.67 lakh0.04% ▼ −1.43 lakh▼ −0.00 pp 0.04% Reduced Workbook ↗
Groww Mutual Fund 9 1.06 lakh0.00% 1.59 lakh0.00% ▲ +53,545▲ +0.00 pp 0.00% Added Workbook ↗
Old Bridge Mutual Fund 1 —— 47,2500.00% ▲ +47,250▲ +0.00 pp 0.00% New Workbook ↗
DSP Mutual Fund 12 92.27 lakh0.15% 92.58 lakh0.15% ▲ +31,176▲ +0.00 pp 0.15% Added Workbook ↗
Motilal Oswal Mutual Fund 15 59.60 lakh0.10% 59.34 lakh0.10% ▼ −26,055▼ −0.00 pp 0.10% Reduced Workbook ↗
Franklin Templeton Mutual Fund 4 19.48 lakh0.03% 19.61 lakh0.03% ▲ +12,475▲ +0.00 pp 0.03% Added Workbook ↗
NJ Mutual Fund 1 1.20 lakh0.00% 1.17 lakh0.00% ▼ −2,700▼ −0.00 pp 0.00% Reduced Workbook ↗
Angel One Mutual Fund 6 84,6890.00% 84,3000.00% ▼ −389▼ −0.00 pp 0.00% Reduced Workbook ↗
Helios Mutual Fund 3 23.05 lakh0.04% 23.05 lakh0.04% 00.00 pp 0.04% Unchanged Workbook ↗
Capitalmind Mutual Fund 1 16,7240.00% 16,7240.00% 00.00 pp 0.00% Unchanged Workbook ↗

Shares as disclosed; % of equity uses 616.27 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.