ANOMALY WEALTHMutual Fund Intelligence
Data throughAug 2026
Trade Intelligence ↗

Equity ownership / Aug 2026

JINDAL STEEL LIMITED

JINDALSTEL INE749A01030 Monthly disclosed holdings

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MF shares held 12.28 Cr Was 9.80 Cr in the prior month
AMCs holding 31 Distinct asset managers
Portfolios holding 210 185 observed in both months
Comparable change +16.13 L+1.7% Like-for-like portfolios only

Historical ownership

Monthly disclosures · Jan 2022 onward

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Portfolios increasing 68 Of 185 comparable
Portfolios reducing 18 Of 185 comparable
New positions 5 Opened in Aug 2026
Complete exits 4 Closed in Aug 2026

Top AMC holders

Top 25 by disclosed quantity · Aug 2026

AMCShares heldPortfoliosActivity
ICICI Prudential Mutual Fund 2.72 Cr 23 ▲ Increasing
HDFC Mutual Fund 2.30 Cr 17 Not comparable
SBI Mutual Fund 1.56 Cr 7 ▼ Reducing
Aditya Birla Sun Life Mutual Fund 1.37 Cr 21 ▲ Increasing
DSP Mutual Fund 1.00 Cr 12 ▲ Increasing
Bandhan Mutual Fund 0.73 Cr 11 ▲ Increasing
Nippon India Mutual Fund 0.53 Cr 11 ▲ Increasing
Mirae Asset Mutual Fund 0.44 Cr 13 ▲ Increasing
Tata Mutual Fund 0.44 Cr 11 ▼ Reducing
HSBC Mutual Fund 0.31 Cr 5 ▲ Increasing
Sundaram Mutual Fund 0.22 Cr 3 ▲ Increasing
Axis Mutual Fund 0.18 Cr 9 ▼ Reducing
UTI Mutual Fund 0.16 Cr 7 ▲ Increasing
Invesco Mutual Fund 0.09 Cr 3 ▼ Reducing
Union Mutual Fund 0.08 Cr 11 ▲ Increasing
PGIM India Mutual Fund 0.06 Cr 3 Unchanged
Motilal Oswal Mutual Fund 0.03 Cr 10 ▲ Increasing
Edelweiss Mutual Fund 0.03 Cr 7 Not comparable
WhiteOak Capital Mutual Fund 0.01 Cr 1 ▲ Increasing
LIC Mutual Fund 37,471 2 ▲ Increasing
Helios Mutual Fund 31,875 1 ▲ Increasing
The Wealth Company Mutual Fund 31,029 2 ▲ Increasing
Zerodha Mutual Fund 30,676 6 ▲ Increasing
Groww Mutual Fund 28,200 5 ▼ Reducing
PPFAS Mutual Fund 23,505 1 ▲ Increasing

Direction applies to the AMC’s comparable disclosed holdings.

Top fund holders

Top 25 itemized economic portfolios · Aug 2026

Unconfirmed portfolio names are included in aggregates, but not itemized.

Security identity & instrument history 1 verified identifier(s)
ISINRelationshipFromTo
INE749A01030 Primary Instrument Jan 2022 Current