Reverse lookup
Mutual funds holding Tata Communications
51 active mutual fund schemes hold Tata Communications as of 30 Aug 2026, sorted by weight.
- 1Mid Cap8.50%₹8.1K Cr
quant Mid Cap Fund
quant
- 2Focused3.18%₹1.8K Cr
Tata Focused Fund
Tata
- 3Large & Mid Cap2.88%₹3.4K Cr
quant Large & Mid Cap Fund
quant
- 4Multi Cap2.43%₹4.9K Cr
Franklin India Multi Cap Fund
Franklin Templeton
- 5Mid Cap2.42%₹19.0K Cr
Mirae Asset Midcap Fund
Mirae Asset
- 6Sectoral / Thematic2.15%₹1.2K Cr
Tata India Innovation Fund
Tata
- 7Large & Mid Cap2.11%₹7.9K Cr
Tata Large & MId Cap Fund
Tata
- 8Mid Cap1.86%₹1.05 L Cr
HDFC Mid Cap Fund
HDFC
- 9Sectoral / Thematic1.77%₹1.3K Cr
HDFC Technology Fund
HDFC
- 10Multi Cap1.72%₹5.1K Cr
Mirae Asset Multicap Fund
Mirae Asset
- 11ELSS Tax Saver1.70%₹25.4K Cr
Mirae Asset ELSS Tax Saver Fund
Mirae Asset
- 12Large & Mid Cap1.66%₹42.8K Cr
Mirae Asset Large & Midcap Fund
Mirae Asset
- 13Dividend Yield1.59%₹686.06 Cr
LIC MF Dividend Yield Fund
LIC
- 14Sectoral / Thematic1.46%₹2.8K Cr
UTI - MNC Fund
UTI
- 15Mid Cap1.43%₹357.11 Cr
LIC MF Mid Cap Fund
LIC
- 16Sectoral / Thematic1.42%₹1.3K Cr
ICICI Prudential ESG Exclusionary Strategy Fund
ICICI Prudential
- 17Dividend Yield1.39%₹6.5K Cr
ICICI Prudential Dividend Yield Equity Fund Direct Plan
ICICI Prudential
- 18Sectoral / Thematic1.37%₹9.3K Cr
Franklin India Opportunities Fund
Franklin Templeton
- 19Multi Cap1.35%₹19.6K Cr
HDFC Multi Cap Fund
HDFC
- 20Sectoral / Thematic1.34%₹91.62 Cr
QUANTUM ESG BEST IN CLASS STRATEGY FUND
Quantum
- 21Sectoral / Thematic1.23%₹36.5K Cr
ICICI Prudential India Opportunities Fund
ICICI Prudential
- 22Mid Cap1.21%₹12.9K Cr
Franklin India Mid Cap Fund
Franklin Templeton
- 23Multi Cap1.21%₹1.9K Cr
LIC MF Multi Cap Fund
LIC
- 24Sectoral / Thematic1.16%₹1.1K Cr
LIC MF Infrastructure Fund
LIC
- 25Multi Cap1.14%₹7.7K Cr
quant Multi Cap Fund
quant
- 26Value / Contra1.01%₹7.9K Cr
HDFC Value Fund
HDFC
- 27Sectoral / Thematic0.98%₹9.7K Cr
Tata Digital India Fund
Tata
- 28Sectoral / Thematic0.98%₹2.2K Cr
Bandhan Innovation Fund
Bandhan
- 29Multi Cap0.94%₹26.2K Cr
Kotak Multicap Fund
Kotak Mahindra
- 30ELSS Tax Saver0.87%₹32.3K Cr
SBI ELSS Tax Saver Fund
SBI
- 31Sectoral / Thematic0.86%₹88.35 Cr
Quantum Ethical Fund
Quantum
- 32Dividend Yield0.70%₹5.6K Cr
HDFC Dividend Yield Fund - Growth Option Direct Plan
HDFC
- 33Value / Contra0.67%₹374.79 Cr
Union Value Fund
Union
- 34Large & Mid Cap0.58%₹17.5K Cr
Bandhan Large & Mid Cap Fund
Bandhan
- 35Flexi Cap0.57%₹4.1K Cr
Mirae Asset Flexi Cap Fund
Mirae Asset
- 36Value / Contra0.52%₹9.1K Cr
NIPPON INDIA VALUE FUND
Nippon India
- 37Large & Mid Cap0.51%₹7.7K Cr
NIPPON INDIA VISION LARGE & MID CAP FUND
Nippon India
- 38Large & Mid Cap0.44%₹30.1K Cr
HDFC Large and Mid Cap Fund
HDFC
- 39Small Cap0.37%₹27.2K Cr
BANDHAN SMALL CAP FUND
Bandhan
- 40Flexi Cap0.32%₹9.3K Cr
Nippon India Flexi Cap Fund
Nippon India
- 41Flexi Cap0.28%₹7.0K Cr
quant Flexi Cap Fund
quant
- 42Mid Cap0.20%₹50.8K Cr
NIPPON INDIA GROWTH MID CAP FUND
Nippon India
- 43Mid Cap0.20%₹32.9K Cr
Axis Midcap Fund
Axis
- 44Large & Mid Cap0.06%₹32.7K Cr
ICICI Prudential Large & Mid Cap Fund
ICICI Prudential
- 45Large & Mid Cap0.00%₹3.0K Cr
LIC MF Large & Mid Cap Fund
LIC
- 46Mid Cap0.00%₹1.8K Cr
Union Midcap Fund
Union
- 47Multi Cap0.00%₹1.4K Cr
Union Multicap Fund
Union
- 48Sectoral / Thematic0.00%₹1.1K Cr
Union Innovation & Opportunities Fund
Union
- 49Large & Mid Cap0.00%₹932.69 Cr
Union Large & Midcap Fund
Union
- 50Focused0.00%₹163.45 Cr
LIC MF Focused Fund
LIC
- 51Sectoral / Thematic0.00%₹150.35 Cr
ICICI Prudential Quant Fund Direct Plan Growth
ICICI Prudential
Between disclosures
What funds did with Tata Communications
28 Apr 2026 → 30 Aug 2026each fund against its own two filings
LIC MF Focused Fund
LIC · Focused
−1.92
Exited
1.92%—LIC MF Large & Mid Cap Fund
LIC · Large & Mid Cap
−1.60
Exited
1.60%—UTI - MNC Fund
UTI · Sectoral / Thematic
+1.46
New position
—1.46%LIC MF Multi Cap Fund
LIC · Multi Cap
+1.21
New position
—1.21%ICICI Prudential Quant Fund Direct Plan Growth
ICICI Prudential · Sectoral / Thematic
−1.01
Exited
1.01%—NIPPON INDIA VALUE FUND
Nippon India · Value / Contra
+0.52
New position
—0.52%NIPPON INDIA VISION LARGE & MID CAP FUND
Nippon India · Large & Mid Cap
+0.51
New position
—0.51%HDFC Technology Fund
HDFC · Sectoral / Thematic
+0.49
Added
1.28%1.77%QUANTUM ESG BEST IN CLASS STRATEGY FUND
Quantum · Sectoral / Thematic
+0.44
Added
0.90%1.34%Franklin India Multi Cap Fund
Franklin Templeton · Multi Cap
+0.44
Added
1.99%2.43%ICICI Prudential ESG Exclusionary Strategy Fund
ICICI Prudential · Sectoral / Thematic
+0.39
Added
1.03%1.42%Bandhan Large & Mid Cap Fund
Bandhan · Large & Mid Cap
−0.38
Trimmed
0.96%0.58%SBI ELSS Tax Saver Fund
SBI · ELSS Tax Saver
−0.36
Trimmed
1.23%0.87%HDFC Mid Cap Fund
HDFC · Mid Cap
−0.32
Trimmed
2.18%1.86%LIC MF Dividend Yield Fund
LIC · Dividend Yield
+0.31
Added
1.28%1.59%Tata Focused Fund
Tata · Focused
+0.25
Added
2.93%3.18%Tata Large & MId Cap Fund
Tata · Large & Mid Cap
−0.22
Trimmed
2.33%2.11%Franklin India Opportunities Fund
Franklin Templeton · Sectoral / Thematic
−0.20
Trimmed
1.57%1.37%Bandhan Innovation Fund
Bandhan · Sectoral / Thematic
−0.19
Trimmed
1.17%0.98%Franklin India Mid Cap Fund
Franklin Templeton · Mid Cap
−0.19
Trimmed
1.40%1.21%HDFC Dividend Yield Fund - Growth Option Direct Plan
HDFC · Dividend Yield
+0.18
Added
0.52%0.70%HDFC Value Fund
HDFC · Value / Contra
−0.18
Trimmed
1.19%1.01%Kotak Multicap Fund
Kotak Mahindra · Multi Cap
+0.17
Added
0.77%0.94%ICICI Prudential India Opportunities Fund
ICICI Prudential · Sectoral / Thematic
−0.11
Trimmed
1.34%1.23%Tata Digital India Fund
Tata · Sectoral / Thematic
+0.10
Added
0.88%0.98%LIC MF Infrastructure Fund
LIC · Sectoral / Thematic
+0.04
Added
1.12%1.16%Union Value Fund
Union · Value / Contra
+0.04
Added
0.63%0.67%LIC MF Mid Cap Fund
LIC · Mid Cap
+0.03
Added
1.40%1.43%Nippon India Flexi Cap Fund
Nippon India · Flexi Cap
+0.01
Added
0.31%0.32%
Weight is the stock's share of each scheme's portfolio, compared between that scheme's own last two full disclosures — funds disclose on their own timetable, so the two dates are not identical for every fund. Schemes whose latest filing was incomplete are left out rather than differenced against a partial portfolio.
How this page is produced
Every figure above is computed from the monthly portfolio disclosures each AMC files with the exchanges, as last disclosed 30 Aug 2026. The full method is published, including its limitations.
Written and maintained by Azad Mohammed, who built the pipeline these numbers come out of. Found an error? Tell us — corrections are made and the page rebuilds within the hour.
This page describes what has already happened. It is not investment advice and not a recommendation to buy or sell any security. Arthkar is not a SEBI-registered investment adviser or research analyst, and does not provide or arrange investment advice. Investments in securities are subject to market risk.
