Star Portfolios

Government Pension Fund Global

Institution · data to Jun 2026

Disclosed value

₹1.35 L Cr

Jun 2026 closes

At current prices

Current holdings

99

Tracked since

Sep 2016

Portfolio value over time

Sum of disclosed holdings across all combined entities, valued at each quarter's closing price.

Current holdings (Jun 2026)

+0.07pp₹14,438 Cr
+0.01pp₹14,364 Cr
-0.01pp₹7,738 Cr
-0.08pp₹5,221 Cr
-0.03pp₹4,699 Cr
-0.05pp₹4,105 Cr
-0.01pp₹3,185 Cr
-0.27pp₹3,071 Cr
-0.06pp₹2,591 Cr
+0.11pp₹2,429 Cr
+0.26pp₹2,415 Cr
-0.36pp₹2,369 Cr
-0.04pp₹2,205 Cr
-0.14pp₹2,169 Cr
-0.01pp₹2,101 Cr
+0.38pp₹2,003 Cr
-0.07pp₹1,797 Cr
+0.08pp₹1,730 Cr
SRF Ltd1.98%
-0.14pp₹1,643 Cr
+0.01pp₹1,639 Cr
-1.07pp₹1,569 Cr
NEW₹1,549 Cr
-0.07pp₹1,521 Cr
0.00pp₹1,496 Cr
-0.35pp₹1,449 Cr
+0.12pp₹1,409 Cr
-0.37pp₹1,375 Cr
-0.24pp₹1,346 Cr
-0.01pp₹1,303 Cr
-0.26pp₹1,253 Cr
-0.02pp₹1,242 Cr
+0.34pp₹1,236 Cr
-0.08pp₹1,214 Cr
-0.03pp₹1,152 Cr
-0.06pp₹1,143 Cr
-0.28pp₹1,092 Cr
0.00pp₹1,086 Cr
0.00pp₹1,072 Cr
+0.03pp₹1,010 Cr
-0.01pp₹992 Cr
0.00pp₹948 Cr
-0.21pp₹876 Cr
-0.02pp₹853 Cr
-0.25pp₹847 Cr
-0.11pp₹816 Cr
0.00pp₹800 Cr
+0.11pp₹744 Cr
+0.13pp₹736 Cr
-0.09pp₹723 Cr
0.00pp₹689 Cr
-0.39pp₹668 Cr
-0.34pp₹667 Cr
+0.16pp₹664 Cr
-0.88pp₹656 Cr
-0.07pp₹652 Cr
-0.11pp₹596 Cr
NEW₹572 Cr
-0.02pp₹545 Cr
+0.22pp₹517 Cr
0.00pp₹515 Cr
-0.07pp₹479 Cr
-1.03pp₹474 Cr
+1.09pp₹465 Cr
+0.27pp₹458 Cr
-0.01pp₹415 Cr
+0.41pp₹403 Cr
-0.04pp₹394 Cr
NEW₹368 Cr
-0.16pp₹360 Cr
+0.06pp₹342 Cr
+0.11pp₹324 Cr
+0.02pp₹315 Cr
-0.12pp₹304 Cr
-0.21pp₹303 Cr
-0.07pp₹299 Cr
-0.09pp₹298 Cr
-0.72pp₹291 Cr
-0.50pp₹274 Cr
-0.12pp₹263 Cr
NEW₹259 Cr
0.00pp₹220 Cr
0.00pp₹196 Cr
-0.08pp₹190 Cr
-0.07pp₹188 Cr
0.00pp₹166 Cr
+0.54pp₹166 Cr
0.00pp₹140 Cr
-0.01pp₹131 Cr
0.00pp₹124 Cr
0.00pp₹117 Cr
-0.02pp₹98 Cr
0.00pp₹67 Cr
0.00pp₹48 Cr
-0.17pp₹21 Cr
-0.10pp₹9 Cr

Portfolio Summary

Jun 2026

As of Jun 2026, Government Pension Fund Global — an institution tracked through public shareholding filings — disclosed 99 holdings in Indian listed companies worth ₹1,34,885 crore. The same holdings-at-filing-value basis put it at ₹1,30,856 crore in Mar 2026 (+3.1%). Solomo carries these filings back to Sep 2016.

Largest disclosed positions in Jun 2026: ICICI Bank Ltd (ICICIBANK1.43% of the company, ₹14,438 crore); HDFC Bank Ltd (HDFCBANK1.34% of the company, ₹14,364 crore); Axis Bank Ltd (AXISBANK1.85% of the company, ₹7,738 crore); Kotak Mahindra Bank Ltd (KOTAKBANK1.32% of the company, ₹5,221 crore); Sun Pharmaceutical Industries Ltd (SUNPHARMA1.03% of the company, ₹4,699 crore). Those 5 account for 34% of the disclosed value.

Changes in the Jun 2026 filings: newly disclosed — CG Power & Industrial Solutions Ltd, Sona BLW Precision Forgings Ltd, Emcure Pharmaceuticals Ltd. Stake raised in Ahluwalia Contracts (India) Ltd (+0.54 pp), HDFC Asset Management Company Ltd (+0.38 pp), 360 ONE WAM Ltd (+0.34 pp). Stake reduced in Coforge Ltd (−1.07 pp), Aditya Birla Sun Life AMC Ltd (−1.03 pp), Balkrishna Industries Ltd (−0.88 pp). No longer disclosed after the previous quarter: Bharti Airtel Ltd, Grasim Industries Ltd, Tata Motors Ltd, J B Chemicals & Pharmaceuticals Ltd — which can mean a sale, a stake falling below the 1% disclosure line, or that name not filing this quarter.

Combined disclosed portfolio value by filed quarter, valued at each quarter's closing prices.
QuarterDisclosed valueChange
Jun 2026₹1,34,885 Cr+3.1%
Mar 2026₹1,30,856 Cr−8.1%
Dec 2025₹1,42,422 Cr+2.5%
Sep 2025₹1,38,969 Cr+10.1%
Jun 2025₹1,26,268 Cr+4.2%
Mar 2025₹1,21,193 Cr−6%
Dec 2024₹1,28,911 Cr+4.3%
Sep 2024₹1,23,554 Cr+14.5%
All star portfolios 170 further positions appear in earlier filings but not in Jun 2026.Quarterly shareholding filings (BSE/NSE); only stakes above the 1% disclosure threshold are public. Not investment advice.