ANOMALY WEALTHMutual Fund Intelligence Data throughAug 2026 Trade Intelligence ↗

Comparable monthly disclosures

Institutional Activity

Where disclosed mutual fund positions are increasing, reducing, opening or closing.

Portfolio reductions

Oct 2022 · Ranked across companies with at least 10 comparable portfolios

Sorting and search apply to this page of 25. Change pages to explore further down the ranking.
Company Portfolio reductions Comparable change Portfolios increasing Portfolios reducing Comparable portfolios
ICICI Bank Limited ICICIBANK 58 25.7% of comparable -0.49 Cr 41 58 226
Axis Bank Limited AXISBANK 43 23.8% of comparable -0.25 Cr 48 43 181
Maruti Suzuki India Limited MARUTI 37 24.0% of comparable -0.02 Cr 43 37 154
State Bank of India SBIN 37 17.8% of comparable +0.07 Cr 48 37 208
Kotak Mahindra Bank Limited KOTAKBANK 34 21.8% of comparable -0.04 Cr 40 34 156
Infosys Limited INFY 34 16.4% of comparable +0.32 Cr 60 34 207
Sun Pharmaceutical Industries Limited SUNPHARMA 33 20.5% of comparable +0.06 Cr 43 33 161
Bajaj Finance Limited BAJFINANCE 30 20.8% of comparable -0.02 Cr 29 30 144
Tata Consultancy Services Limited TCS 30 19.1% of comparable -0.04 Cr 35 30 157
Dr. Reddy's Laboratories Limited DRREDDY 29 33.0% of comparable -0.02 Cr 20 29 88
Divi's Laboratories Limited DIVISLAB 29 30.2% of comparable -0.07 Cr 24 29 96
Hindustan Unilever Limited HINDUNILVR 29 18.7% of comparable -0.08 Cr 31 29 155
Larsen & Toubro Limited LT 29 15.9% of comparable -0.22 Cr 36 29 182
Bharti Airtel Limited BHARTIARTL 29 17.1% of comparable -88,745 40 29 170
HDFC Bank Limited HDFCBANK 29 13.9% of comparable -0.18 Cr 56 29 208
Titan Company Limited TITAN 26 26.8% of comparable -0.02 Cr 29 26 97
Reliance Industries Limited RELIANCE 26 12.6% of comparable +0.08 Cr 60 26 207
SBI Life Insurance Company Limited SBILIFE 25 18.8% of comparable -0.09 Cr 21 25 133
TATA CONSUMER PRODUCTS LIMITED TATACONSUM 24 24.2% of comparable -0.15 Cr 17 24 99
Housing Development Finance Corp.Lt HDFC 24 15.4% of comparable +0.09 Cr 35 24 156
Mahindra & Mahindra Limited M&M 24 17.9% of comparable +0.02 Cr 35 24 134
HCL Technologies Limited HCLTECH 24 18.3% of comparable -0.15 Cr 36 24 131
NTPC Limited NTPC 24 17.3% of comparable -0.03 Cr 37 24 139
Cipla Limited CIPLA 23 23.5% of comparable +0.06 Cr 23 23 98
ITC Limited ITC 23 16.4% of comparable +0.33 Cr 53 23 140
How to read this activity

Activity compares disclosed positions for economic portfolios observed in both relevant monthly disclosures and adjusts for externally evidenced corporate actions where available.

At least 10 comparable portfolios are required. Companies under corporate-action review are excluded. Counts are unweighted by portfolio size, and share changes are quantities rather than market values; zero counts can appear at the end of a ranking. Breadth change is the change in AMCs holding, and can also reflect reporting coverage.

Full methodology →