Star Portfolios

SBI Conservative Hybrid Fund

Institution · data to Jun 2026

Disclosed value

₹2,503 Cr

Jun 2026 closes

At current prices

Current holdings

5

Tracked since

Jun 2022

Portfolio value over time

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

Current holdings (Jun 2026)

0.00pp₹1,354 Cr
-0.11pp₹649 Cr
NEW₹402 Cr
-0.69pp₹66 Cr
+0.79pp₹32 Cr

Portfolio Summary

Jun 2026

As of Jun 2026, SBI Conservative Hybrid Fund — an institution tracked through public shareholding filings — disclosed 5 holdings in Indian listed companies worth ₹2,503 crore. The same holdings-at-filing-value basis put it at ₹700 crore in Mar 2026 (+257.7%). Solomo carries these filings back to Jun 2022.

Largest disclosed positions in Jun 2026: Aptus Value Housing Finance India Ltd (APTUS9.39% of the company, ₹1,354 crore); Finolex Industries Ltd (FINPIPE5.97% of the company, ₹649 crore); Electronics Mart India Ltd (EMIL7.43% of the company, ₹402 crore); VST Industries Ltd (VSTIND1.44% of the company, ₹66 crore); Andhra Paper Ltd (ANDHRAPAP2.60% of the company, ₹32 crore).

Changes in the Jun 2026 filings: newly disclosed — Electronics Mart India Ltd. Stake raised in Andhra Paper Ltd (+0.79 pp). Stake reduced in VST Industries Ltd (−0.69 pp), Finolex Industries Ltd (−0.11 pp).

Combined disclosed portfolio value by filed quarter, valued at each quarter's closing prices.
QuarterDisclosed valueChange
Jun 2026₹2,503 Cr+257.7%
Mar 2026₹700 Cr−67.3%
Dec 2025₹2,142 Cr−11.6%
Sep 2025₹2,422 Cr+55%
Jun 2025₹1,562 Cr+2239.6%
Mar 2025₹67 Cr−94.6%
Dec 2024₹1,240 Cr−16.1%
Sep 2024₹1,478 Cr+10.4%
All star portfolios 3 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.