Finance

Tata Investment Corporation Limited

ISIN: INE672A01026 · Data as of Aug 2026
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Active Funds Holding
2
vs Last Month
-1 funds
Total Value
₹5.50 L
Avg Weight
0.08%
New Entries
0
Exits
1
ℹ️ Index funds and ETFs are excluded. Only actively managed funds reflect genuine fund manager decisions.
Small Cap Rank #252
₹33.34 K Cr
Avg Mkt Cap · Jan-Jun 2026 (latest)
SEBI · AMFI Market Cap List
📋 What Changed This Month Tata Investment Corporation Limited is currently held by 2 active mutual funds with total exposure of ₹5.50 L. This month 0 funds entered and 1 fund exited. ZERODHA LIFE CYCLE FUND 2041 has the highest allocation at 0.09%. ↓ Scroll down for full fund list and monthly changes.
Trend

How Has Fund Coverage Changed — Last 5 Months?

Month Funds AUM (Cr) AMCs Status
Aug 2026 REFERENCE 2 ₹0 48 / 49
Jul 2026 3 ₹0 49 / 49 ✅ Complete
Jun 2026 1 ₹0 49 / 49 ✅ Complete
May 2026 1 ₹0 49 / 49 ✅ Complete
Apr 2026 0 49 / 49 ✅ Complete

📌 Portfolio changes below are based on Aug 2026 data — the most complete month with 48 AMCs we cover uploaded.

This Month

What Changed in the Portfolio — Aug 2026?

Note: Index funds and ETFs are excluded from this analysis. Their holdings change due to index rebalancing, not active fund manager decisions, and do not reflect genuine conviction buys or exits.

▲ New Entries (0)
No new entries this month
▼ Exits (1)
↑ Increased (1)
↓ Decreased (0)
No decreases this month
By Category

Which Fund Categories Hold This Stock?

Category Funds Avg Weight Distribution
Equity 2 0.08%
All Holdings

Which 2 Active Funds Hold Tata Investment Corporation Limited?

Filter:
Fund ↕ Category ↕ Weight ↕ Value ↕ Change ↕
ZERODHA LIFE CYCLE FUND 2041
Zerodha Mutual Fund
Equity 0.09% ₹1.55 L +0.01%
Edelweiss Nifty LargeMidcap250 Plus 8-13 Yr G-Sec 70:30 Index Fund
Edelweiss Mutual Fund
Equity 0.07% ₹3.95 L
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Data source: Official AMFI monthly portfolio disclosures. Updated every month. Index funds and ETFs excluded. Disclaimer: This is not investment advice. Consult a SEBI-registered advisor before investing.