ANOMALY WEALTHMutual Fund Intelligence Data throughAug 2026 Trade Intelligence ↗

Sector · Aug 2026

Diversified

What mutual funds hold in Diversified companies, what they bought and sold, and which fund houses lean on the sector most.

Data periodHoldings monthAug 2026NSE prices25 Sep 2026Data status →

At the end of Aug 2026, mutual funds held ₹4,072 Cr of Diversified shares across 3 companies — 0.1% of all the equity they disclosed (-0.02 pp on the month).

Funds were estimated net buyers of ₹85.77 Cr: they added to 3 of these companies and cut 0. Over the 12 months to Aug 2026, estimated net buying adds up to +323 Cr.

Value held by funds₹4,072 CrNSE month-end prices
Share of fund equity0.1%-0.02 pp
Estimated net buying+85.77 CrBought ₹91.51 Cr · sold ₹5.74 Cr
Companies held33 with an NSE price

Estimated buying, month by month

Net ₹ crore · same schemes, month-end prices

Loading history…

Share of all fund equity

Per cent of disclosed equity, by value

Loading history…

Value held also moves with the number of fund houses disclosing each month; the share is the steadier guide.

Sold most

Estimated net selling in Aug 2026

  1. None this month.

Every company funds hold

3 companies · Aug 2026

Open in screener →
₹ crore at NSE month-end prices. Estimated buying compares the same schemes with last month; “—” means no estimate (first month held, no NSE price, or a corporate action).
CompanySizeValue heldEstimated net buyingFund housesAddingCutting
3M India Limited3MINDIA Mid Cap 2,728 Cr +37.59 Cr 20 17 5
Godrej Industries LimitedGODREJIND Mid Cap 1,136 Cr +35.69 Cr 19 33 5
DCM Shriram LimitedDCMSHRIRAM Small Cap 208 Cr +12.48 Cr 15 22 6

Fund houses that lean on Diversified

Share of each fund house’s disclosed equity in this sector · all funds: 0.1%

Fund houseShare of its equityVersus all fundsValue heldCompanies
Tata Mutual Fund 0.7% +0.59 pp 798 Cr 2
Bandhan Mutual Fund 0.6% +0.48 pp 607 Cr 3
Baroda BNP Paribas Mutual Fund 0.2% +0.16 pp 73.35 Cr 3
Quantum Mutual Fund 0.2% +0.16 pp 4.23 Cr 1
Canara Robeco Mutual Fund 0.2% +0.15 pp 251 Cr 1
WhiteOak Capital Mutual Fund 0.2% +0.13 pp 68.36 Cr 2
Mirae Asset Mutual Fund 0.2% +0.12 pp 380 Cr 3
Nippon India Mutual Fund 0.2% +0.10 pp 949 Cr 3
Zerodha Mutual Fund 0.2% +0.08 pp 4.27 Cr 3
UTI Mutual Fund 0.1% +0.04 pp 364 Cr 3
Axis Mutual Fund 0.1% +0.01 pp 190 Cr 3
quant Mutual Fund 0.1% -0.00 pp 64.99 Cr 1

Fund houses with at least ₹1 crore in the sector. A high share reflects the fund house’s scheme mix (sector and thematic funds) as much as a view.

Sector: NSE Indices industry classification. Values: disclosed quantities × official NSE closing prices. Estimates are not transaction records. Method →