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Who Owns What?

Which funds own shares of which company? Our exclusive Who Owns What search tells you!

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Fund  |  Rating Ratings Category Launch % Net Asset Amount
Invested (Cr)
No. of Shares
HDFC Equity Fund  | 4 Jan-95 2.32 350.34 1791392
DSP BlackRock Equity Fund  | 3 Apr-97 3.80 85.77 438569
HDFC Prudence Fund  | 4 Feb-94 1.31 85.75 438460
DSP BlackRock Small and Mid Cap Fund - Regular Plan  | 3 Nov-06 4.71 64.34 328982
HDFC MF Monthly Income Plan - Long Term Plan  | 4 Dec-03 0.92 33.74 172498
Axis Equity Fund  | 5 Jan-10 2.26 21.53 110102
Axis Midcap Fund  | 5 Feb-11 3.71 17.60 90000
L&T Tax Advantage Fund  | 3 Feb-06 1.05 14.60 74660
UTI Equity Fund  | 5 May-92 0.44 14.13 72242
DSP BlackRock Tax Saver Fund  | 4 Jan-07 1.51 13.54 69227
Canara Robeco Equity Tax Saver Fund - Regular Plan  | 3 Mar-93 1.04 8.13 41573
Tata Balanced Fund - Plan A  | 4 Oct-95 1.07 7.80 40000
Axis Small Cap Fund - Regular Plan 0 Nov-13 2.81 7.04 36000
Tata Equity PE Fund - Plan A  | 4 Jun-04 1.46 6.83 35000
UTI Mid Cap Fund  | 4 Apr-04 0.49 5.72 29250
Tata Midcap Growth Plan A Fund  | 3 Jul-94 1.89 4.88 25000
DSP BlackRock Opportunities Fund  | 3 May-00 0.72 3.99 20396
Tata Ethical Fund - Plan A  | 5 Apr-01 2.14 3.90 20000
IDBI Equity Advantage Fund - Regular Plan 0 Sep-13 4.09 3.69 18846
Canara Robeco Equity Diversified Fund - Regular Plan  | 4 Sep-03 0.49 3.52 18000
SBI IT Fund 0 Jul-99 3.11 2.03 10400
Canara Robeco Emerging Equities Fund - Regular Plan  | 4 Mar-05 2.48 1.96 10000
L&T Midcap Fund  | 3 Aug-04 0.99 1.88 9600
Motilal Oswal MOSt Shares M100 ETF Fund  | 1 Jan-11 0.54 1.63 8325
Kotak Emerging Equity Scheme  | 2 Mar-07 1.86 1.41 7219
IDBI Diversified Equity Fund - Regular Plan 0 Mar-14 0.98 0.49 2500
Edelweiss ELSS Fund  | 3 Dec-08 1.05 0.40 2032
SBI Magnum Children's Benefit Plan  | 4 Jan-02 1.26 0.35 1800
Mirae Asset India Opportunities Fund - Regular Plan  | 5 Apr-08 0.05 0.30 1539
Edelweiss Select Midcap Fund 0 Aug-11 0.90 0.12 609
Principal Index Fund - Midcap - Regular Plan 0 May-14 0.54 0.08 400
Goldman Sachs CNX 500 Fund  | 1 Jan-09 0.08 0.05 256
Data As on Jun 30, 2014