HDFC Mutual Fund (scheme MY2005)
Tech Mahindra Ltd · NSE
2,00,000 sh · ₹33.03 Cr
SBI Nifty 50 ETF
94.0% of their portfolio
₹2,023.48 Cr
1,22,53,886 sh
SBI BSE Sensex ETF
1.1% of their portfolio
₹1,392.61 Cr
84,31,905 sh
SBI Large Cap Fund
1.9% of their portfolio
₹1,073.35 Cr
65,00,000 sh
ICICI Prudential Technology Fund
7.5% of their portfolio
₹1,016.35 Cr
61,54,841 sh
SBI Balanced Advantage Fund
2.1% of their portfolio
₹905.36 Cr
54,82,687 sh
SBI Contra Fund
1.8% of their portfolio
₹874.48 Cr
52,95,681 sh
Nippon India ETF Nifty 50 BEES
0.9% of their portfolio
₹625.53 Cr
37,88,103 sh
SBI ELSS Tax Saver Fund
1.9% of their portfolio
₹624.31 Cr
37,80,741 sh
Nippon India Large Cap Fund
0.9% of their portfolio
₹478.49 Cr
28,97,680 sh
ICICI Prudential Balanced Advantage Fund
0.6% of their portfolio
₹421.92 Cr
25,55,080 sh
ICICI Prudential Large Cap Fund
0.5% of their portfolio
₹421.32 Cr
25,51,468 sh
Nippon India ETF Nifty IT
10.8% of their portfolio
₹416.91 Cr
25,24,752 sh
FII holding ~flat QoQ
Jun 2026 quarter
Ownership by quarter
Promoter
— 0.0pp
HDFC Mutual Fund (scheme MY2005)
Tech Mahindra Ltd · NSE
2,00,000 sh · ₹33.03 Cr
SBI Contra Fund
Tech Mahindra Ltd · NSE
52,95,681 sh · ₹874.48 Cr
SBI Nifty IT ETF
Tech Mahindra Ltd · NSE
54,533 sh · ₹9.01 Cr
SBI Nifty Index Fund
Tech Mahindra Ltd · NSE
8,00,059 sh · ₹132.11 Cr
HDFC Nifty IT ETF
Tech Mahindra Ltd · NSE
55,150 sh · ₹9.11 Cr
ICICI Prudential Nifty50 Equal Weight Index Fund
Tech Mahindra Ltd · NSE
35,467 sh · ₹5.86 Cr
ICICI Prudential BSE Sensex ETF
Tech Mahindra Ltd · NSE
22,17,230 sh · ₹366.20 Cr
ICICI Prudential Quality Fund
Tech Mahindra Ltd · NSE
2,49,128 sh · ₹41.14 Cr
HDFC Nifty 50 Index Fund
Tech Mahindra Ltd · NSE
13,72,203 sh · ₹226.59 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.
10 announcements on record for this company.
ICICI Prudential Equity & Debt Fund
0.2% of their portfolio
₹110.98 Cr
6,72,046 sh
Nippon India Balanced Advantage Fund
0.8% of their portfolio
₹77.77 Cr
4,70,963 sh
HDFC NIFTY50 Equal weight Index Fund
2.2% of their portfolio
₹40.14 Cr
2,43,090 sh
ICICI Prudential ELSS Tax Saver Fund
0.3% of their portfolio
₹36.31 Cr
2,19,870 sh
Parag Parikh Mutual Fund (scheme PPLCF)
0.7% of their portfolio
₹5.64 Cr
34,168 sh
Aditya Birla Sun Life BSE Sensex ETF
1.0% of their portfolio
₹2.64 Cr
18,764 sh
Promoter holding by quarter: Jun 2025 35.0%, Sep 2025 35.0%, Dec 2025 35.0%, Mar 2026 35.0%. Sep 2024, Dec 2024, Mar 2025: no filing.
FII
— +0.7pp
FII holding by quarter: Jun 2025 23.3%, Sep 2025 20.6%, Dec 2025 17.9%, Mar 2026 18.6%. Sep 2024, Dec 2024, Mar 2025: no filing.
DII
— −0.5pp
DII holding by quarter: Jun 2025 32.1%, Sep 2025 34.6%, Dec 2025 37.8%, Mar 2026 37.3%. Sep 2024, Dec 2024, Mar 2025: no filing.
MF
— −0.8pp
MF holding by quarter: Jun 2025 16.5%, Sep 2025 17.6%, Dec 2025 19.9%, Mar 2026 19.1%. Sep 2024, Dec 2024, Mar 2025: no filing.
Per-series scale, bounds labeled. Gaps mark quarters without a filing.
ICICI Prudential Nifty 50 ETF
Tech Mahindra Ltd · NSE
25,02,734 sh · ₹413.28 Cr
Ownership by quarter
Promoter
— 0.0pp
Promoter holding by quarter: Jun 2025 35.0%, Sep 2025 35.0%, Dec 2025 35.0%, Mar 2026 35.0%. Sep 2024, Dec 2024, Mar 2025: no filing.
FII
— +0.7pp
FII holding by quarter: Jun 2025 23.3%, Sep 2025 20.6%, Dec 2025 17.9%, Mar 2026 18.6%. Sep 2024, Dec 2024, Mar 2025: no filing.
DII
— −0.5pp
DII holding by quarter: Jun 2025 32.1%, Sep 2025 34.6%, Dec 2025 37.8%, Mar 2026 37.3%. Sep 2024, Dec 2024, Mar 2025: no filing.
MF
— −0.8pp
MF holding by quarter: Jun 2025 16.5%, Sep 2025 17.6%, Dec 2025 19.9%, Mar 2026 19.1%. 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.
10 announcements on record for this company.