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Star Portfolios

SBI LIFE INSURANCE CO. LTD

Institution · data to Jun 2026

Disclosed value

₹91,730 Cr

Jun 2026 closes

At current prices

Current holdings

81

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)

+0.09pp₹14,454 Cr
-0.01pp₹6,091 Cr
+0.20pp₹5,663 Cr
-0.10pp₹5,121 Cr
+0.09pp₹4,563 Cr
-0.50pp₹3,133 Cr
NEW₹3,097 Cr
BSE Ltd1.65%
+0.21pp₹2,575 Cr
+0.11pp₹1,863 Cr
+0.02pp₹1,728 Cr
+0.11pp₹1,669 Cr
-0.17pp₹1,577 Cr
+0.19pp₹1,556 Cr
-0.24pp₹1,467 Cr
-0.15pp₹1,435 Cr
+0.46pp₹1,370 Cr
NEW₹1,277 Cr
+0.16pp₹1,276 Cr
NEW₹1,198 Cr
+0.17pp₹1,170 Cr
+0.18pp₹1,118 Cr
-0.12pp₹1,098 Cr
+0.02pp₹1,077 Cr
+0.09pp₹1,071 Cr
NEW₹1,040 Cr
-0.72pp₹959 Cr
+0.07pp₹933 Cr
+0.39pp₹783 Cr
NEW₹760 Cr
-0.49pp₹730 Cr
-0.12pp₹713 Cr
-0.18pp₹699 Cr
+0.02pp₹688 Cr
+0.44pp₹616 Cr
0.00pp₹614 Cr
-0.21pp₹612 Cr
NEW₹601 Cr
-0.32pp₹595 Cr
NEW₹587 Cr
-0.46pp₹586 Cr
+0.28pp₹586 Cr
+0.34pp₹580 Cr
+1.07pp₹574 Cr
-0.18pp₹573 Cr
-0.12pp₹568 Cr
-0.19pp₹540 Cr
+0.46pp₹534 Cr
+0.51pp₹494 Cr
NEW₹492 Cr
NEW₹472 Cr
+0.10pp₹469 Cr
-0.23pp₹456 Cr
-0.02pp₹452 Cr
0.00pp₹447 Cr
NEW₹426 Cr
-0.47pp₹395 Cr
-0.60pp₹382 Cr
0.00pp₹374 Cr
-0.14pp₹347 Cr
+2.65pp₹320 Cr
+0.08pp₹311 Cr
-0.27pp₹305 Cr
+0.24pp₹298 Cr
+0.28pp₹276 Cr
+0.22pp₹274 Cr
0.00pp₹260 Cr
NEW₹221 Cr
NEW₹217 Cr
0.00pp₹212 Cr
-0.44pp₹192 Cr
0.00pp₹171 Cr
-0.74pp₹156 Cr
0.00pp₹121 Cr
0.00pp₹119 Cr
-0.05pp₹111 Cr
NEW₹110 Cr
+0.23pp₹80 Cr
-0.45pp₹78 Cr
-0.13pp₹75 Cr
-0.11pp₹5 Cr

Portfolio Summary

Jun 2026

As of Jun 2026, SBI LIFE INSURANCE CO. LTD — an institution tracked through public shareholding filings — disclosed 81 holdings in Indian listed companies worth ₹91,730 crore. The same holdings-at-filing-value basis put it at ₹69,479 crore in Mar 2026 (+32%). Solomo carries these filings back to Sep 2016.

Largest disclosed positions in Jun 2026: ICICI Bank Ltd (ICICIBANK1.43% of the company, ₹14,454 crore); Larsen & Toubro Ltd (LT1.11% of the company, ₹6,091 crore); Axis Bank Ltd (AXISBANK1.36% of the company, ₹5,663 crore); Infosys Ltd (INFY1.31% of the company, ₹5,121 crore); Mahindra & Mahindra Ltd (M&M1.19% of the company, ₹4,563 crore). Those 5 account for 39% of the disclosed value.

Changes in the Jun 2026 filings: newly disclosed — Eternal Ltd, PB Fintech Ltd, GE Vernova T&D India Ltd. Stake raised in Gokaldas Exports Ltd (+2.65 pp), Strides Pharma Science Ltd (+0.51 pp), Persistent Systems Ltd (+0.46 pp). Stake reduced in Keystone Realtors Ltd (−0.74 pp), Voltas Ltd (−0.72 pp), Bluestone Jewellery & Lifestyle Ltd (−0.60 pp). No longer disclosed after the previous quarter: Godrej Consumer Products Ltd, Swiggy Ltd, UPL Ltd, Capri Global Capital 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₹91,730 Cr+32%
Mar 2026₹69,479 Cr+2.1%
Dec 2025₹68,070 Cr+28.9%
Sep 2025₹52,799 Cr+5.7%
Jun 2025₹49,947 Cr+26.3%
Mar 2025₹39,548 Cr−4.2%
Dec 2024₹41,277 Cr+19.4%
Sep 2024₹34,574 Cr+30.5%
All star portfolios 72 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.