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

Jan 2025 · 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
Hyundai Motor India Limited HYUNDAI 11 16.9% of comparable +0.02 Cr 11 4 65
Ramkrishna Forgings Limited RKFORGE 11 55.0% of comparable +0.05 Cr 11 4 20
Ratnamani Metals & Tubes Limited RATNAMANI 11 35.5% of comparable -0.02 Cr 11 4 31
Vishal Mega Mart Limited VMM 11 26.8% of comparable +0.70 Cr 11 5 41
TITAGARH RAIL SYSTEMS LIMITED TITAGARH 11 26.2% of comparable -0.05 Cr 11 5 42
Swiggy Limited SWIGGY 11 16.7% of comparable -0.11 Cr 11 14 66
Medplus Health Services Limited MEDPLUS 10 41.7% of comparable +0.03 Cr 10 0 24
Rashtriya Chemicals and Fertilizers Limited RCF 10 90.9% of comparable +12,461 10 1 11
IFCI Limited IFCI 10 90.9% of comparable +56,837 10 1 11
Trident Limited TRIDENT 10 90.9% of comparable +0.01 Cr 10 1 11
Shree Renuka Sugars Limited RENUKA 10 90.9% of comparable +70,757 10 1 11
Akums Drugs and Pharmaceuticals Limited AKUMS 10 37.0% of comparable +0.07 Cr 10 1 27
Railtel Corporation Of India Limited RAILTEL 10 90.9% of comparable +7,726 10 1 11
Honasa Consumer Limited HONASA 10 62.5% of comparable -0.08 Cr 10 1 16
NMDC Steel Limited NSLNISP 10 83.3% of comparable +0.01 Cr 10 1 12
Shipping Corporation Of India Limited SCI 10 90.9% of comparable +14,948 10 1 11
MMTC Limited MMTC 10 90.9% of comparable +14,623 10 1 11
Gujarat Mineral Development Corporation Limited GMDCLTD 10 90.9% of comparable +7,404 10 1 11
The Jammu & Kashmir Bank Limited J&KBANK 10 76.9% of comparable +39,032 10 1 13
Chennai Petroleum Corporation Limited CHENNPETRO 10 76.9% of comparable +4,295 10 1 13
Capri Global Capital Limited CGCL 10 83.3% of comparable +21,774 10 1 12
Welspun Living Limited WELSPUNLIV 10 50.0% of comparable -0.08 Cr 10 1 20
ITI Limited ITI 10 90.9% of comparable +8,443 10 1 11
Olectra Greentech Limited OLECTRA 10 90.9% of comparable +3,539 10 1 11
Alok Industries Limited ALOKINDS 10 90.9% of comparable +0.01 Cr 10 1 11
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 →