Fund Tracker

Fund houses in Sudarshan Chemical Industries Limited

7 fund houses holding · net −6.03 lakh shares (−0.77 pp of equity) · Aug 2026 vs Jul 2026

11 fund houses holding · net −6.07 lakh shares (−0.77 pp of equity) · Aug 2026 vs Jul 2026

% of equity, Aug 2026 Activity Source
Franklin Templeton Mutual Fund 2 20.88 lakh2.66% 13.41 lakh1.71% ▼ −7.46 lakh▼ −0.95 pp 1.71% Reduced Workbook ↗
Bandhan Mutual Fund 1 4.48 lakh0.57% 5.63 lakh0.72% ▲ +1.15 lakh▲ +0.15 pp 0.72% Added Workbook ↗
DSP Mutual Fund 3 10.39 lakh1.32% 10.68 lakh1.36% ▲ +28,590▲ +0.04 pp 1.36% Added Workbook ↗
HDFC Mutual Fund 1 57.90 lakh7.36% 57.90 lakh7.36% 00.00 pp 7.36% Unchanged Workbook ↗
Nippon India Mutual Fund 1 25.66 lakh3.26% 25.66 lakh3.26% 00.00 pp 3.26% Unchanged Workbook ↗
Axis Mutual Fund 1 19.45 lakh2.47% 19.45 lakh2.47% 00.00 pp 2.47% Unchanged Workbook ↗
ICICI Prudential Mutual Fund 1 37,8320.05% 37,8320.05% 00.00 pp 0.05% Unchanged Workbook ↗
Franklin Templeton Mutual Fund 2 20.88 lakh2.66% 13.41 lakh1.71% ▼ −7.46 lakh▼ −0.95 pp 1.71% Reduced Workbook ↗
Bandhan Mutual Fund 2 4.48 lakh0.57% 5.63 lakh0.72% ▲ +1.15 lakh▲ +0.15 pp 0.72% Added Workbook ↗
DSP Mutual Fund 3 10.39 lakh1.32% 10.68 lakh1.36% ▲ +28,590▲ +0.04 pp 1.36% Added Workbook ↗
Motilal Oswal Mutual Fund 2 1.92 lakh0.24% 1.88 lakh0.24% ▼ −4,108▼ −0.01 pp 0.24% Reduced Workbook ↗
Groww Mutual Fund 1 1,2780.00% 1,2840.00% ▲ +6▲ +0.00 pp 0.00% Added Workbook ↗
Angel One Mutual Fund 2 3620.00% 3660.00% ▲ +4▲ +0.00 pp 0.00% Added Workbook ↗
Mirae Asset Mutual Fund 1 1760.00% 1770.00% ▲ +1▲ +0.00 pp 0.00% Added Workbook ↗
HDFC Mutual Fund 1 57.90 lakh7.36% 57.90 lakh7.36% 00.00 pp 7.36% Unchanged Workbook ↗
Nippon India Mutual Fund 1 25.66 lakh3.26% 25.66 lakh3.26% 00.00 pp 3.26% Unchanged Workbook ↗
Axis Mutual Fund 1 19.45 lakh2.47% 19.45 lakh2.47% 00.00 pp 2.47% Unchanged Workbook ↗
ICICI Prudential Mutual Fund 1 37,8320.05% 37,8320.05% 00.00 pp 0.05% Unchanged Workbook ↗

Shares as disclosed; % of equity uses 7.86 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.