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 increases

Sep 2023 · 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 increases Comparable change Portfolios increasing Portfolios reducing Comparable portfolios
Avanti Feeds Limited AVANTIFEED 5 41.7% of comparable -0.05 Cr 5 2 12
Lodha Developers Limited LODHA 5 45.5% of comparable +0.07 Cr 5 3 11
Ratnamani Metals & Tubes Limited RATNAMANI 5 17.2% of comparable -22,743 5 3 29
Ksb Limited KSB 5 21.7% of comparable -24,976 5 3 23
Gland Pharma Limited GLAND 5 17.2% of comparable -39,353 5 4 29
BEML Limited BEML 5 31.2% of comparable -0.02 Cr 5 4 16
Oil India Limited OIL 5 27.8% of comparable +0.10 Cr 5 4 18
Sundram Fasteners Limited SUNDRMFAST 5 14.7% of comparable -42,054 5 5 34
Zensar Technologies Limited ZENSARTECH 5 20.8% of comparable -0.21 Cr 5 5 24
Bata India Limited BATAINDIA 5 20.0% of comparable -0.04 Cr 5 6 25
KEC International Limited KEC 5 14.7% of comparable -0.02 Cr 5 6 34
Kansai Nerolac Paints Limited KANSAINER 5 25.0% of comparable +0.01 Cr 5 6 20
Cera Sanitaryware Limited CERA 5 16.7% of comparable -13,489 5 6 30
Jyothy Labs Limited JYOTHYLAB 5 25.0% of comparable -0.23 Cr 5 7 20
Poonawalla Fincorp Limited POONAWALLA 5 16.7% of comparable -0.20 Cr 5 8 30
Linde India Limited LINDEINDIA 5 20.8% of comparable -99,707 5 9 24
Devyani International Limited DEVYANI 5 13.9% of comparable -0.51 Cr 5 9 36
Praj Industries Limited PRAJIND 4 26.7% of comparable +0.17 Cr 4 0 15
Aether Industries Limited AETHER 4 36.4% of comparable +48,544 4 0 11
Ingersoll Rand (India) Limited INGERRAND 4 36.4% of comparable +6,416 4 0 11
Somany Ceramics Limited SOMANYCERA 4 28.6% of comparable +0.03 Cr 4 0 14
PCBL Chemical Limited PCBL 4 23.5% of comparable +23,258 4 0 17
Mahindra Lifespace Developers Limited MAHLIFE 4 23.5% of comparable +61,766 4 0 17
UTI Asset Management Company Limited UTIAMC 4 14.3% of comparable -22,149 4 1 28
Orient Electric Limited ORIENTELEC 4 25.0% of comparable -17,934 4 1 16
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 →