Star Portfolios

Tata Indian Opportunities Fund

Institution · data to Jun 2026

Disclosed value

₹709 Cr

Jun 2026 closes

At current prices

Current holdings

4

Tracked since

Jun 2023

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₹259 Cr
0.00pp₹231 Cr
0.00pp₹176 Cr
0.00pp₹43 Cr

Portfolio Summary

Jun 2026

As of Jun 2026, Tata Indian Opportunities Fund — an institution tracked through public shareholding filings — disclosed 4 holdings in Indian listed companies worth ₹709 crore. The same holdings-at-filing-value basis put it at ₹584 crore in Mar 2026 (+21.4%). Solomo carries these filings back to Jun 2023.

Largest disclosed positions in Jun 2026: Usha Martin Ltd (USHAMART1.68% of the company, ₹259 crore); Anant Raj Ltd (ANANTRAJ1.16% of the company, ₹231 crore); BASF India Ltd (BASF1.11% of the company, ₹176 crore); Digitide Solutions Ltd (DIGITIDE2.82% of the company, ₹43 crore).

Combined disclosed portfolio value by filed quarter, valued at each quarter's closing prices.
QuarterDisclosed valueChange
Jun 2026₹709 Cr+21.4%
Mar 2026₹584 Cr−18.4%
Dec 2025₹716 Cr−52.3%
Sep 2025₹1,501 Cr−2.3%
Jun 2025₹1,536 Cr+32.5%
Mar 2025₹1,159 Cr−22.6%
Dec 2024₹1,498 Cr+40%
Sep 2024₹1,070 Cr+41.2%
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.