Fund houses in Infosys Limited
15 fund houses holding · net −2.83 cr shares (−0.70 pp of equity) · Aug 2026 vs Jul 2026
16 fund houses holding · net −2.15 cr shares (−0.53 pp of equity) · Aug 2026 vs Jul 2026
| % of equity, Aug 2026 | Activity | Source | |||||
|---|---|---|---|---|---|---|---|
| SBI Mutual Fund | 11 | 5.39 cr1.33% | 4.67 cr1.15% | ▼ −71.68 lakh▼ −0.18 pp | 1.15% | Reduced | Workbook ↗ |
| ICICI Prudential Mutual Fund | 20 | 12.22 cr3.01% | 11.65 cr2.87% | ▼ −56.79 lakh▼ −0.14 pp | 2.87% | Reduced | Workbook ↗ |
| Aditya Birla Sun Life Mutual Fund | 16 | 3.41 cr0.84% | 2.94 cr0.73% | ▼ −46.38 lakh▼ −0.11 pp | 0.73% | Reduced | Workbook ↗ |
| HDFC Mutual Fund | 18 | 5.31 cr1.31% | 4.93 cr1.22% | ▼ −38.23 lakh▼ −0.09 pp | 1.22% | Reduced | Workbook ↗ |
| UTI Mutual Fund | 13 | 1.73 cr0.43% | 1.54 cr0.38% | ▼ −19.58 lakh▼ −0.05 pp | 0.38% | Reduced | Workbook ↗ |
| Nippon India Mutual Fund | 17 | 5.44 cr1.34% | 5.29 cr1.30% | ▼ −15.00 lakh▼ −0.04 pp | 1.30% | Reduced | Workbook ↗ |
| Bandhan Mutual Fund | 14 | 1.54 cr0.38% | 1.40 cr0.34% | ▼ −14.37 lakh▼ −0.04 pp | 0.34% | Reduced | Workbook ↗ |
| Axis Mutual Fund | 17 | 1.89 cr0.47% | 1.78 cr0.44% | ▼ −11.22 lakh▼ −0.03 pp | 0.44% | Reduced | Workbook ↗ |
| Mirae Asset Mutual Fund | 9 | 2.95 cr0.73% | 2.88 cr0.71% | ▼ −7.15 lakh▼ −0.02 pp | 0.71% | Reduced | Workbook ↗ |
| Franklin Templeton Mutual Fund | 16 | 1.79 cr0.44% | 1.77 cr0.44% | ▼ −2.03 lakh▼ −0.00 pp | 0.44% | Reduced | Workbook ↗ |
| NJ Mutual Fund | 3 | 3.10 lakh0.01% | 4.24 lakh0.01% | ▲ +1.14 lakh▲ +0.00 pp | 0.01% | Added | Workbook ↗ |
| DSP Mutual Fund | 9 | 1.19 cr0.29% | 1.18 cr0.29% | ▼ −65,172▼ −0.00 pp | 0.29% | Reduced | Workbook ↗ |
| Motilal Oswal Mutual Fund | 1 | 9.39 lakh0.02% | 9.00 lakh0.02% | ▼ −39,103▼ −0.00 pp | 0.02% | Reduced | Workbook ↗ |
| Groww Mutual Fund | 6 | 1.61 lakh0.00% | 1.30 lakh0.00% | ▼ −30,694▼ −0.00 pp | 0.00% | Reduced | Workbook ↗ |
| PPFAS Mutual Fund | 3 | 4.47 cr1.10% | 4.47 cr1.10% | ▲ +10,339▲ +0.00 pp | 1.10% | Added | Workbook ↗ |
| SBI Mutual Fund | 25 | 17.47 cr4.31% | 16.91 cr4.17% | ▼ −56.38 lakh▼ −0.14 pp | 4.17% | Reduced | Workbook ↗ |
| Aditya Birla Sun Life Mutual Fund | 25 | 3.64 cr0.90% | 3.19 cr0.79% | ▼ −45.60 lakh▼ −0.11 pp | 0.79% | Reduced | Workbook ↗ |
| ICICI Prudential Mutual Fund | 39 | 15.89 cr3.92% | 15.54 cr3.83% | ▼ −35.47 lakh▼ −0.09 pp | 3.83% | Reduced | Workbook ↗ |
| HDFC Mutual Fund | 40 | 6.73 cr1.66% | 6.39 cr1.58% | ▼ −33.48 lakh▼ −0.08 pp | 1.58% | Reduced | Workbook ↗ |
| Bandhan Mutual Fund | 24 | 1.69 cr0.42% | 1.57 cr0.39% | ▼ −12.27 lakh▼ −0.03 pp | 0.39% | Reduced | Workbook ↗ |
| UTI Mutual Fund | 22 | 7.15 cr1.76% | 7.03 cr1.73% | ▼ −11.59 lakh▼ −0.03 pp | 1.73% | Reduced | Workbook ↗ |
| Axis Mutual Fund | 29 | 2.10 cr0.52% | 1.99 cr0.49% | ▼ −10.63 lakh▼ −0.03 pp | 0.49% | Reduced | Workbook ↗ |
| Nippon India Mutual Fund | 31 | 9.92 cr2.44% | 9.87 cr2.43% | ▼ −5.18 lakh▼ −0.01 pp | 2.43% | Reduced | Workbook ↗ |
| Mirae Asset Mutual Fund | 23 | 3.16 cr0.78% | 3.12 cr0.77% | ▼ −4.12 lakh▼ −0.01 pp | 0.77% | Reduced | Workbook ↗ |
| Franklin Templeton Mutual Fund | 18 | 1.81 cr0.45% | 1.79 cr0.44% | ▼ −1.95 lakh▼ −0.00 pp | 0.44% | Reduced | Workbook ↗ |
| NJ Mutual Fund | 4 | 3.10 lakh0.01% | 4.40 lakh0.01% | ▲ +1.31 lakh▲ +0.00 pp | 0.01% | Added | Workbook ↗ |
| Motilal Oswal Mutual Fund | 12 | 19.20 lakh0.05% | 20.06 lakh0.05% | ▲ +86,035▲ +0.00 pp | 0.05% | Added | Workbook ↗ |
| DSP Mutual Fund | 22 | 1.56 cr0.38% | 1.56 cr0.38% | ▼ −52,073▼ −0.00 pp | 0.38% | Reduced | Workbook ↗ |
| Groww Mutual Fund | 10 | 2.46 lakh0.01% | 2.17 lakh0.01% | ▼ −28,652▼ −0.00 pp | 0.01% | Reduced | Workbook ↗ |
| PPFAS Mutual Fund | 3 | 4.47 cr1.10% | 4.47 cr1.10% | ▲ +10,339▲ +0.00 pp | 1.10% | Added | Workbook ↗ |
| Angel One Mutual Fund | 4 | 35,2160.00% | 34,9590.00% | ▼ −257▼ −0.00 pp | 0.00% | Reduced | Workbook ↗ |
No fund house is in this bucket for Aug 2026.
Shares as disclosed; % of equity uses 405.73 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.