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

Feb 2026 · Ranked across companies with at least 10 comparable portfolios

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Company Portfolio increases Comparable change Portfolios increasing Portfolios reducing Comparable portfolios
ICICI Prudential Life Insurance Company Limited ICICIPRULI 40 48.8% of comparable +0.62 Cr 40 7 82
Vishal Mega Mart Limited VMM 40 37.0% of comparable +4.29 Cr 40 8 108
Adani Energy Solutions Limited ADANIENSOL 40 53.3% of comparable +0.28 Cr 40 8 75
Hyundai Motor India Limited HYUNDAI 40 42.6% of comparable -78,218 40 11 94
Oracle Financial Services Software Limited OFSS 40 54.1% of comparable -96,765 40 13 74
L&T Finance Limited LTF 40 39.2% of comparable -0.60 Cr 40 15 102
SRF Limited SRF 40 37.0% of comparable -0.04 Cr 40 15 108
Sona BLW Precision Forgings Limited SONACOMS 40 31.0% of comparable +0.10 Cr 40 17 129
Petronet LNG Limited PETRONET 40 43.0% of comparable +0.33 Cr 40 17 93
Hindustan Petroleum Corporation Limited HINDPETRO 40 35.1% of comparable -0.45 Cr 40 20 114
Siemens Limited SIEMENS 39 42.9% of comparable +0.02 Cr 39 9 91
Steel Authority of India Limited SAIL 39 49.4% of comparable +1.01 Cr 39 11 79
Colgate Palmolive (India) Limited COLPAL 39 43.3% of comparable -0.05 Cr 39 13 90
Crompton Greaves Consumer Electricals Limited CROMPTON 39 32.5% of comparable -0.41 Cr 39 17 120
Mankind Pharma Limited MANKIND 39 29.8% of comparable +0.08 Cr 39 18 131
Lodha Developers Limited LODHA 39 56.5% of comparable -0.23 Cr 39 20 69
RBL Bank Limited RBLBANK 39 33.9% of comparable -0.17 Cr 39 25 115
Bharat Forge Limited BHARATFORG 39 38.6% of comparable -0.27 Cr 39 26 101
Syngene International Limited SYNGENE 38 43.7% of comparable +0.57 Cr 38 10 87
Laurus Labs Limited LAURUSLABS 38 54.3% of comparable -0.18 Cr 38 13 70
GMR AIRPORTS LIMITED GMRAIRPORT 38 46.9% of comparable +1.07 Cr 38 17 81
Nippon Life India Asset Management Limited NAM-INDIA 38 37.3% of comparable +0.05 Cr 38 18 102
GE Vernova T&D India Limited GVT&D 38 25.3% of comparable -0.16 Cr 38 49 150
Bajaj Holdings & Investment Limited BAJAJHLDNG 37 64.9% of comparable +19,462 37 4 57
Siemens Energy India Limited ENRIN 37 46.2% of comparable +87,481 37 10 80
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 →