Nippon India Nifty Midcap 150 Index Fund
Colgate Palmolive (India) Ltd · NSE
87,248 sh · ₹15.38 Cr
SBI Large and Midcap Fund
1.9% of their portfolio
₹789.54 Cr
41,60,742 sh
Nippon India Multi Cap Fund
0.9% of their portfolio
₹482.58 Cr
27,36,795 sh
SBI Midcap Fund
1.4% of their portfolio
₹341.57 Cr
18,00,000 sh
Nippon India Large Cap Fund
0.6% of their portfolio
₹280.44 Cr
15,90,441 sh
Nippon India Growth Mid Cap Fund
0.5% of their portfolio
₹229.23 Cr
13,00,000 sh
HDFC Mid Cap Fund
19.0% of their portfolio
₹201.52 Cr
10,61,989 sh
SBI Consumption Opportunities Fund
3.2% of their portfolio
₹90.14 Cr
4,75,000 sh
SBI Multi Asset Allocation Fund
27.0% of their portfolio
₹56.93 Cr
3,00,000 sh
ICICI Prudential Rural Opportunities Fund
2.7% of their portfolio
₹50.96 Cr
2,88,995 sh
SBI MNC Fund
68.0% of their portfolio
₹45.54 Cr
2,40,000 sh
ICICI Prudential Arbitrage Fund
0.1% of their portfolio
₹39.04 Cr
2,21,375 sh
HDFC Mutual Fund (scheme HDFCGR)
4.0% of their portfolio
₹37.95 Cr
2,00,000 sh
FII holding ~flat QoQ
Jun 2026 quarter
Ownership by quarter
Promoter
— 0.0pp
Nippon India Nifty Midcap 150 Index Fund
Colgate Palmolive (India) Ltd · NSE
87,248 sh · ₹15.38 Cr
Groww Mutual Fund (scheme IB40)
Colgate Palmolive (India) Ltd · NSE
142 sh · ₹2.50 L
Nippon India MNC Fund
Colgate Palmolive (India) Ltd · NSE
19,000 sh · ₹3.35 Cr
ICICI Prudential Rural Opportunities Fund
Colgate Palmolive (India) Ltd · NSE
2,88,995 sh · ₹50.96 Cr
ICICI Prudential MNC Fund
Colgate Palmolive (India) Ltd · NSE
81,850 sh · ₹14.43 Cr
ICICI Prudential FMCG Fund
Colgate Palmolive (India) Ltd · NSE
1,76,280 sh · ₹31.08 Cr
Nippon India ETF Nifty Dividend Opportunities 50
Colgate Palmolive (India) Ltd · NSE
2,397 sh · ₹42.27 L
ICICI Prudential Nifty 200 Quality 30 ETF
Colgate Palmolive (India) Ltd · NSE
26,538 sh · ₹4.68 Cr
The announcements library is part of Pro.
Every exchange filing this company makes — results, board meetings, dividends, analyst meets, investor presentations — as filed with NSE / BSE, the day it lands.
58 announcements on record for this company.
SBI ESG Exclusionary Strategy Fund
23.0% of their portfolio
₹12.46 Cr
65,666 sh
ICICI Prudential BSE Midcap Select ETF
1.7% of their portfolio
₹1.94 Cr
10,945 sh
Quantum ESG Best In Class Strategy Fund
1.0% of their portfolio
₹90.08 L
4,373 sh
Promoter holding by quarter: Jun 2025 51.0%, Sep 2025 51.0%, Dec 2025 51.0%, Mar 2026 51.0%. Sep 2024, Dec 2024, Mar 2025: no filing.
FII
— −1.6pp
FII holding by quarter: Jun 2025 20.4%, Sep 2025 17.2%, Dec 2025 15.2%, Mar 2026 13.6%. Sep 2024, Dec 2024, Mar 2025: no filing.
DII
— +1.8pp
DII holding by quarter: Jun 2025 9.3%, Sep 2025 11.9%, Dec 2025 13.5%, Mar 2026 15.3%. Sep 2024, Dec 2024, Mar 2025: no filing.
MF
— +1.3pp
MF holding by quarter: Jun 2025 5.2%, Sep 2025 5.5%, Dec 2025 6.1%, Mar 2026 7.5%. Sep 2024, Dec 2024, Mar 2025: no filing.
Per-series scale, bounds labeled. Gaps mark quarters without a filing.
Nippon India Consumption Fund
Colgate Palmolive (India) Ltd · NSE
58,018 sh · ₹10.23 Cr
ICICI Prudential BSE 500 ETF
Colgate Palmolive (India) Ltd · NSE
2,401 sh · ₹42.59 L
Ownership by quarter
Promoter
— 0.0pp
Promoter holding by quarter: Jun 2025 51.0%, Sep 2025 51.0%, Dec 2025 51.0%, Mar 2026 51.0%. Sep 2024, Dec 2024, Mar 2025: no filing.
FII
— −1.6pp
FII holding by quarter: Jun 2025 20.4%, Sep 2025 17.2%, Dec 2025 15.2%, Mar 2026 13.6%. Sep 2024, Dec 2024, Mar 2025: no filing.
DII
— +1.8pp
DII holding by quarter: Jun 2025 9.3%, Sep 2025 11.9%, Dec 2025 13.5%, Mar 2026 15.3%. Sep 2024, Dec 2024, Mar 2025: no filing.
MF
— +1.3pp
MF holding by quarter: Jun 2025 5.2%, Sep 2025 5.5%, Dec 2025 6.1%, Mar 2026 7.5%. Sep 2024, Dec 2024, Mar 2025: no filing.
Per-series scale, bounds labeled. Gaps mark quarters without a filing.
The announcements library is part of Pro.
Every exchange filing this company makes — results, board meetings, dividends, analyst meets, investor presentations — as filed with NSE / BSE, the day it lands.
58 announcements on record for this company.